What is the recommended sequence for scheduling of receipt accounting processes?
The recommended sequence for scheduling the receipt accounting processes is:
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            Incoming transactions: - 
                  Transfer Transactions from Receiving to Receipt Accounting process. Interfaces receipt transactions. 
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                  Transfer Costs from Payables to Cost Management process. Interfaces accounts payable transactions. 
 
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            Receipt accounting: - 
                  Receipt Accounting Distribution process. 
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                  Clear Receipt Accrual Balances process. Executes only if you have predefined accrual clearing rules. Marks purchase orders for automatic clearing. 
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                  Receipt Accounting Distribution process. Creates distributions for cleared accrual balances. 
 
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            Subledger accounting: - 
                  Create Accounting process. 
 
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            Reconciliation and reporting: - 
                  Match Receipt Accruals process. Matches purchase order receipt accruals with invoices from the payables application. Perform at period close or as needed for internal reporting and reconciliation. Note: You can also perform this step before running the subledger accounting process to know the approximate accrual amount for reconciliation.
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                  Audit Receipt Accrual Clearing Balances process. Audit the General Ledger accounted accrual balances. 
 
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