Table of Contents
- Title and Copyright Information
- Revision History
- Overview
- Feature Summary
- Accounting Foundation
- Average Balance Reconciliation - Financial Element Approach
- GL Reconciliation to Consider Inclusion of Custom ML Segments for ML-PP Reconciliation
- Enable OOTB Measure Fields for Balance Reconciliation
- Inclusion of Out-of-the-Box SWAP Contract Product Processor Table for GL-PP and ML-PP Reconciliation Types
- PMF Process Execution using Process Code instead of Process IDs
- API for PMF Status Report
- API for PMF Error Report
- Introduction of Data Quality Reporting Engine Pipeline
- Transaction Type has been Enabled to be a User-maintainable Dimension
- Business Terms to Support Data Origin Trace and External Verification have been Added to Accounting Entries Entity
- Addition of Accounting Summary and Transaction Summary Subject Areas
- Exposure of Dimension and Fact Tables in Data Visualization
- Introduction of an URL for Drill Back from Accounting Hub Cloud Service to Accounting Foundation Cloud Service
- Support for Retrospective Revaluation has been Added with Repeat Execution of Revaluation for a Given Set of User-provided Run-time Parameters
- Ability to Ingest Balance Information from Financials Cloud GL Multiple Times for a Given Date has been Added
- GL Recon Framework Support for Insurance Domain
- Enhanced Data Gathering and Persistence for Journals Data Sourced from Financials Cloud
- AFCS will Now Support Revaluation of a Ledger with Another Ledger as the Basis, as Supported Already in Financials Cloud
- Journals Data will now be Moved into Results for Persistence Incrementally
- A New Standard Extract Process has been Introduced Optimizing Fetch of Latest Balance Information across Execution Cycles for a Given Business Date
- Standard Extract Yielding Balance Information from AFCS Management Ledger has been Optimized with Reduction in Number of Involved Steps