Financials > Utilities > Resynchronizations > Double entry balances 

Use this utility (subject to activity code KRU - Russian localization) to perform a set of controls on double entry balances, including:

  • checking the balancing of these double entry balances,
  • checking data with respect to the entry lines,
  • recovering amounts which, after these checks, are not found in the BALDEM file.

The controls performed are similar to the ones of the General balance resynchronization.

Prerequisites

SEEREFERTTO Refer to documentation Implementation

Screen management

Entry screen

Presentation

The double entry balance is only managed for ledgers checked as Double entry.
The double entry balance is designed in the same way as general and analytical balances, except:

  • totals are managed for the Debited account and BP / Credited account and BP combinations,
  • this balance also manages totals for the analytical dimensions related to these accounts (credited/debited).

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Fields

The following fields are present on this tab :

Criteria

No help linked to this field.

  • All sites (field ALLFCY)

 

 

  • Ledger type (field LEDTYP)

 

  • Fiscal year (field FIY)

No help linked to this field.

  • Start date (field STRDAT)

 

  • End date (field ENDDAT)

 

 

Action on

  • field TYP

 

 

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Error messages

The only error messages are the generic ones.

Tables used

SEEREFERTTO Refer to documentation Implementation