Accounting Foundation Cloud Service Core Functions Data Extraction OOTB Extract for Period Day YTD Balance Executing Period Day YTD Balance Extraction Process 19.7.3 Executing Period Day YTD Balance Extraction Process To view and execute the Period Day YTD Balance Extraction Process, complete the following steps: On the Home page, click the Process Orchestration link on the left. Search for the Period Day YTD Balance Extraction process. From the Process Modeller Summary page, click the menu button corresponding to Period Day YTD Balance Extraction and select Execute Run. Select the Execution Type as With Parameters, and select Fiscal Period , As Of Date, Fiscal Period Month parameters and click Execute.For more details on how to view the execution status in the Process Monitor window, see the Managing Processes section.