Transfer Journal Entries to GL – Assets
NAME: Transfer Journal Entries to GL – Assets
SHORT CODE: FAGLTRN
MODULE: Oracle Assets
Description: Report for the Accounting Program
Navigation: Oracle Assets Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.
Report Parameters:
- Book Type Code : Book Type Code
- Application : Application ID
- Source Application : Source Application Id
- Dummy Parameter 0 :
- Ledger : Ledger Id
- Process Category : Process Category Code
- End Date : End Date
- Create Accounting Flag : Create Accounting Flag
- Dummy Parameter 1 :
- Accounting Mode : Accounting Mode
- Dummy Parameter 2 :
- Errors Only Flag : Errors Only Flag
- Report : Report
- Transfer to GL Flag : Transfer to GL Flag
- Dummy Parameter 3 :
- Post to GL Flag : Post to GL Flag
- GL Batch Name :
- Mixed Currency Precision :
- Request ID : Parameter to run the report on previous execution of Accounting Program.
- Entity ID : Entity Id
- Source Application Name : Source Application Name
- Application Name : Application Name
- Ledger Name : Ledger Name
- Process Category Name : Process Category Name<
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