Golgappa.net | Golgappa.org | BagIndia.net | BodyIndia.Com | CabIndia.net | CarsBikes.net | CarsBikes.org | CashIndia.net | ConsumerIndia.net | CookingIndia.net | DataIndia.net | DealIndia.net | EmailIndia.net | FirstTablet.com | FirstTourist.com | ForsaleIndia.net | IndiaBody.Com | IndiaCab.net | IndiaCash.net | IndiaModel.net | KidForum.net | OfficeIndia.net | PaysIndia.com | RestaurantIndia.net | RestaurantsIndia.net | SaleForum.net | SellForum.net | SoldIndia.com | StarIndia.net | TomatoCab.com | TomatoCabs.com | TownIndia.com
Interested to Buy Any Domain ? << Click Here >> for more details...

Hi all,

I'm confused when it comes the financial handling of
transactions. What is the difference between an accounting
entry and a journal entry in oracle eBS.

Answer Posted / ravindra

whatever accounting entries will be entered/generated in other sub-modules will be transferred to GL module as journal entries .

Is This Answer Correct ?    3 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

What is Difference between Auto Copy Journal and recurring journal?

1813


how service tax work.

2406


what is VAT claim process?

2539


What do you mean by controlling buyers workload?

10213


What are the inventory report to check inventory status.

2468


1.what is the name of program to create invoice automatic from po.? 2.How to auto upload the bank statement? 3.PO tax has not flown to invoice . why? Debit memo not generated for return of goods.??

3476


What is the meaning holding tax?

1107


what r issues faced in gl

2766


Define the activities of the Configuration Manager (AP,GL,FA) in the team. Give examples

2517


I have created an invoice and made the payment in Accounts payable. Now the payment status is Negotiable and accounting status is processed. I reconciled the transaction in Cash Mgmt, The status changed from negotiable to Reconciled in CM. I checked the payment status for the invoice in payment window(AP), the payment status changed to RECONCILED UNACCOUNTED i.e correct but the accounting status is remain processed which is not the correct. I hope the transaction will be correct if the accounting status would have changed to PERTIAL . Please suggest any solution for the above query.

5320


Provide an overview of AR cash receipt processing.

2628


While assigning the security by book in oracle assets..i am unable ot get the asset org in security profile form.This asset org was already defined in org description window.

2859


could you please post some work around that any body have done in the financial modules.

2097


How to support projects life cycles details?

1212


Explain Customer Creation and Maintenance Process. Provide samples of customer master records with Payment Terms.

2334