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As one way to address the current GL to sub-ledger reconciliation challenges, please enable automatic GL settlements for entries settled at the sub-ledger level or having an explicit reversal link. For example:
- Invoices and payments incl. partial ones
- Payments in transfer on the bridging account
- Credit notes, depending on the settlement type
- GRNI and its reversal on invoice posting
- Voucher reversals triggered manually
- Inventory receipts and issues on running inventory closing
- Other sub-ledger driven settlements
Where is it feasible, the user should also be able to adjust such settlements manually based on the existing ledger settlement functionality.
STATUS DETAILS
Needs Votes
Administrator on 9/21/2020 4:34:56 PM
Thank you for the feedback! We will consider this for future releases. Kristi, Microsoft PM