Overview of Predefined Mapping Sets

There are predefined mapping sets for all the journal line rules with commonly used sources. For each journal line rule, there are three to five sources such as Inventory Organization, Sub-Inventory, Item Category, and Item.

The benefits of using predefined mapping sets for implementation include:

  • Enabling quick implementation of subledger accounting.

  • Providing commonly used transaction source attributes.

  • Enabling easy maintenance when compared with defining and maintaining the user-defined account rules.

Unique mapping sets are predefined for each journal line rule. Some of the predefined mapping sets for Cost Accounting are, Consigned Clearing, Consigned In-Transit, Consigned Inspection, and so on. View Cost Accounting user interface for the complete list of mapping sets. Predefined Mapping Sets for Receipt Accounting are, Consigned Accrual, Consigned Clearing, Consigned Inspection, and so on. View the Receipt Accounting user interface for the complete list of mapping sets.

The mapping set created for each journal line type is added to a predefined account rule.