What are the setups in R11i for fund transfer between two bank
Answer Posted / dhananjay
Try following method:
Transfer funds from one bank to another by way of Manual
Journal in General Ledger. It is recommended to make such
transfers only by way of Letter of Instruction to bank
instead of preparing a cheque. Retain copy of this transfer
letter duly signed by authorised signatory and attach it to
the printout of Journal Voucher as a proof of funds
transfer.
| Is This Answer Correct ? | 1 Yes | 2 No |
Post New Answer View All Answers
difference between tds and income tax (India)
explain with examples what r the roles & Responsiblities of a functional consultant who reviews the Test Scripts, Test Cases and Test Execution Results of AP, FA and GL.
I am working on PPR process to print checks. Currently the checks are printing for each supplier, supplier site and payment method group. My requirement is the invoice level one DFF is available (like A and B are the input values). Please let me know how include this DFF at invoice grouping level.
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.
what is the use of hr: security profile, while configure multiorg?
Recurring Problem Posting i have Journals for sep 2018 that i approved but they are not available to post even though the period is open in Oracle R12 Issues
how to do customization while doing oracle implementation. what is the role of functional consultant in customization?
SLA usage ans how to define setups?
On what different real time issues you worked while doing P2P cycle implementation?
What is the Process of Reconciliation Between AP to GL
Hi guys, any person available ap,ar material pls send me this mail.id sreenathapps09@gmail.com
How will account an advance of Rs.10000/- which is a permanent prepayment, can I make payment for this?
What is gap analysis, how do you defined. What are the pre-requisities?
how we can stop the transaction for not transfer to the reporting ledger at the time of entering the transaction in pl
Provide an overview of AR cash receipt processing.