INTERCOMPANY TRANSACTIONS


INTERCOMPANY TRANSACTIONS CAPABILITIES

  • Process intercompany General Ledger journal entries and inter-company Accounts Payable invoices, debit notes and credit notes.
  • Create an unlimited number of routes to define relationships between companies, including multilevel routes.
  • Automatically make load account entries for intercompany transactions and distribute invoices to as many General Ledger accounts as required by defining distribution sets.
  • Fully integrates with Tax Services to handle tax computations for expensed, allocated or recoverable taxes.
  • Enter transaction references and descriptions to provide a detailed audit trail for reconciliation purposes.
  • Print an intercompany loan account reconciliation report to identify loan accounts that do not agree.
  • Process multicurrency transactions in Intercompany Transactions, General Ledger and Accounts Payable.
  • Distribute transactions to companies with differing functional currencies.
  • Create routes with originating companies, intermediate companies and destination companies having different functional currencies.
  • Process multicurrency transactions for multicurrency or single-currency intermediate and destination companies.

STANDARD REPORTS

Some of the reports included are:

  • Invoice Batch Listing
  • Invoice Batch Status
  • Loan Account Reconciliation
  • Route Listing Report
  • Unposted Invoice Batches