Financial Integrity Reports
Содержание
Overall recommended order
- Create Baselines:
- AP to GL Integrity by Offset Account report (R047001A) as a baseline
- AR to Account Balance by Account ID (R03B707) as a baseline
- Account Balance to Transactions (R09705) as a baseline
- Repost Account Ledger Report (R099102) as a baseline
- Batch Header integrities:
- Unposted Batches (R007011)
- Transactions to Batch Header (R007021)
- Batch to Detail (R007031)
- Batches Out of Balance (R007032)
- G/L integrities for accounts and companies:
- Transactions without Account Master (R097021)
- Account Balance without Account Master (R097031)
- Accounts without Business Units (R097041)
- Companies in Balance (R097001)
- Company by Batch Out of Balance (R09706)
- Intercompany Accounts in Balance (R097011)
- A/P integrities:
- AP to GL by Batch (R04701)
- AP Payments to Voucher (R04713)
- AP Payments to GL by batch (R04702A)
- General Journal by Account Report (R09311) for the A/P Trade account(s) with data selection set to Document Type not equal to AE
- AP to GL Integrity by Offset Account report (R047001A): compare to its baseline
- A/R integrities:
- AR to GL by Batch Integrity Report (R03B701)
- AR to GL Receipts by Batch (R890911BI)
- F03B11 to F03B14 Integrity (R8903B14I)
- General Journal by Account Report (R09311) for the A/R Trade account(s) with data selection set to Document Type not equal to AE
- AR to Account Balance by Account ID (R03B707): compare to its baseline
- Final G/L integrities:
- Account Balance to Transactions (R09705): compare to its baseline
- Repost Account Ledger Report (R099102): compare to its baseline
Note - The following reports are not dependent on each other, this is only Oracle Support's recommended order. It is important to run each and clean up any discrepancies before running the next report.
A/R Integrity Reports
These can be found on Menu G03B21.
KM articles to help you run and research these integrity reports:
- E1: 03B: How To Run and Research Accounts Receivable Integrity Issues (Document 2242260.2)
- E1: 03B: FAQ - Frequently Asked Questions on Accounts Receivable Integrity Reports … (Document 872884.1)
Recommended order just for A/R integrities:
- AR to Account Balance by Account ID (R03B707) as a baseline
- Batch to Detail (R007031)
- Transactions to Batch Header (R007021)
- Unposted Batches (R007011)
- AR to GL by Batch Integrity Report (R03B701)
- AR to GL Receipts by Batch (R890911BI)
- F03B11 to F03B14 Integrity (R8903B14I)
- General Journal by Account Report (R09311) for the A/R Trade account(s) with data selection set to Document Type not equal to AE
- AR to Account Balance by Account ID (R03B707): compare to its baseline
A/P Integrity Reports
These can be found on Menu G0421.
KM articles to help you run and research these integrity reports:
- E1: 04: How To Run EnterpriseOne Accounts Payable Integrity Reports ... (Document 1407766.1)
- E1: 04: FAQ - Frequently Asked Questions Regarding AP Integrity Reports ... (Document 663128.1)
Recommended order just for A/P integrities:
- AP to GL Integrity by Offset Account report (R047001A) as a baseline
- Batch to Detail (R007031)
- Transactions to Batch Header (R007021)
- Unposted Batches (R007011)
- AP to GL by Batch (R04701)
- AP Payments to Voucher (R04713)
- AP Payments to GL by batch (R04702A)
- General Journal by Account Report (R09311) for the A/P Trade account(s) with data selection set to Document Type not equal to AE
- AP to GL Integrity by Offset Account report (R047001A): compare to its baseline
G/L Integrity Reports
These can be found on Menu G0922.
KM articles to help you run and research these integrity reports:
- E1: 09: How To Troubleshoot EnterpriseOne General Ledger Integrity Issues (Document 1541001.1)
- E1: 09: Overview of General Accounting Integrity Reports ... (Document 664780.1)
Recommended order just for G/L integrities:
- Account Balance to Transactions (R09705) as a baseline
- Repost Account Ledger Report (R099102) as a baseline
- Unposted Batches (R007011)
- Transactions to Batch Header (R007021)
- Batch to Detail (R007031)
- Batches Out of Balance (R007032)
- Transactions without Account Master (R097021)
- Account Balance without Account Master (R097031)
- Accounts without Business Units (R097041)
- Companies in Balance (R097001)
- Company by Batch Out of Balance (R09706)
- Intercompany Accounts in Balance (R097011)
- Account Balance to Transactions (R09705): compare to its baseline
- Repost Account Ledger Report (R099102): compare to its baseline
Base Currency Conversion Integrity Reports
Preferred Order of A/R Currency Conversion Integrity Reports
# | Report Name (Program Number) | Prerequisite For Running In Final Mode |
---|---|---|
1. | F03B11 to F03B22 Integrity (R8903B22I) | None |
2. | F03B11 to F03B40 Integrity (R8903B40I) | Run the F03B11 to F03B22 Integrity report. |
3. | F03B11 to F03B14 Integrity (R8903B14I) | Run the F03B11 to F03B40 Integrity report. |
4. | F03B14 to F03B41 Integrity (R8903B41I) | Run the F03B11 to F03B14 Integrity report. |
5. | F03B14 to F03B13 Integrity (R8903B13I) | Run the F03B14 to F03B41 Integrity report. |
6. | F03B22 to F03B23 Integrity (R8903B23I) | Run the F03B14 to F03B13 Integrity report. |
7. | F03B11 to F0911 Integrity (R890911AI) | Run the F03B22 to F03B23 Integrity report. |
All these reports have proof and final modes. For more information on what the reports do in each mode, and any setup needed for these reports, please review Section 7.2.1 Completing the Accounts Receivable Preconversion Integrity Checklist of the following online guides:
- JD Edwards EnterpriseOne Applications Base Currency Conversion Implementation Guide for Release 9.2
- JD Edwards EnterpriseOne Applications Base Currency Conversion Implementation Guide for Release 9.1