To ingest initial balance figures, please follow the steps
below:
Prepare initial balance data as detailed above from appropriate sources. Please
refer to the Catalog information on Accounting Entries entity and your choice of
Chart of Account segments.
Configure a Connector to load the initial balance data into Accounting
Entries.
Execute the Data Quality checks on Accounting Entries according to the
run-chart.
Execute the Process pipeline Day Zero and Data Conversion Balance
Computation.
You should not select "0" or "MSG" option in the Data source
field during execution of Day Zero and Data Conversion Balance
Computation pipeline.
Prepare Access Management Ledger reports and validate initial balance
information.