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How to Correct Misclassified Account After Having Run The Year End Closing Journal (文档 ID 295033.1) |
Applies to:Oracle General Ledger - Version 11.5.2 to 11.5.10.2 [Release 11.5.2 to 11.5.10]Information in this document applies to any platform. GoalThe goal of this document is to provide the steps needed to correct wrong Retained Earnings Account balances, which were updated by posting the Year End Closing Journals based on Misclassified Accounts Types. 成都创新互联公司-专业网站定制、快速模板网站建设、高性价比南州晴隆网站开发、企业建站全套包干低至880元,成熟完善的模板库,直接使用。一站式南州晴隆网站制作公司更省心,省钱,快速模板网站建设找我们,业务覆盖南州晴隆地区。费用合理售后完善,十多年实体公司更值得信赖。SolutionIf the Year End Closing Journals program wasn't run and the journals posted then this would be a simple case of misclassified account types. However the case can become more complex depending on the operations performed by the user before and/or after the error is detected. Please read Note:1050920.6 and the General Ledger Users Guide - Maintenance: Correcting Misclassified Account Types before executing the steps described below. The general procedures are: 1. Reopen the last period of the year 2. Set the Account Type (and the Account Code Combination Type if you have also changed it) to what it was at the time the Closing Process was run (only where the account type was changed after having Open the first period of the new year and before running the Closing Process). 3. Reverse the journals created by the Create Balance Sheet Closing Journals (using the change sign method) and post it on the same period(s). 4. Change the Account Type (and the Account Code Combination Type if you have also changed it see Note:1050920.6 ) back to the old wrong account type - this should be the account type at the time the first period of the new year was opened. 5. Enter a manual journal to set the final account balance in the
last period of the year to zero and post it (any account other than
retained earnings can be used as offset account because this journal
will be reversed later).
6. Change the Account Type to the correct account type. 7. Update the Account Code Combination Type in account code combinations table using sql*plus to the correct account type (check Note:1050920.6 ). 8. Reverse the manual journal created in step 5, to put back the correct accounts balance, and post it.
9. Run the Closing Process again. 本文题目:EBSR12YearEnd-创新互联 网页链接:http://6mz.cn/article/cocjop.html |