|
<< Click to Display Table of Contents >> Post Data to General Ledger |
![]() ![]()
|
As part of an internal control, you must ensure the accuracy of the GL account balances that will be reflected in a particular period’s financial statements; thus, the need for you to transfer data from the subsidiary modules to the General Ledger module.
The Post Data to GL function allows you to transfer transactions from the Bank Reconciliation module to temporarily update the information in the General Ledger module. You can perform this function as often as needed. This feature is especially helpful if you have transactions that must be included in the financial reports. You can transfer transactions to the GL module at any time and as often as you want.
|
To post Bank Reconciliation data to the General Ledger module, perform the following steps:
1.Access the Post Data to GL function from the Routine Tasks menu of the Bank Reconciliation module.
2.Before starting the transfer, review the reminders in the BR Post Data to GL function screen. These reminders are as follows:
•You can post data to GL at any time and as many times as you want.
•The overwrites any data previously posted to GL using this function from this module.
•Period-End Closing will perform the final posting of data to GL.
•You do not have to run this function before Period-End Closing.
3.When you are ready, click the Start button to initiate the process. The system will only update posting accounts in the GL module. Posting accounts are GL Account IDs with posting account type that are set up in the Information page of the Chart of Accounts Maintenance function.
4.When the Post Data to GL is completed, a message is displayed confirming that the transfer is successful. Click the Ok button to acknowledge the message.
|
|
BR Transaction Journal Entries Report
© 2023 AccountMate Software Corporation