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Account Reconciliation
Discussion List
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Reconciliation Compliance Rule Pop-Up Message Formatting IssueHi, We have an issue with the formatting of reconciliation compliance Rule pop-up messages. Details: When a message is configured in profile rules and displayed via a po…
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Validation Checks for transaction matchingHi, below are two validation checks we wish to complete in ARCS transaction matching. Any thoughts as to how to accomplish these checks at either the individual transact…
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ARCS - Is is possible to use rules cross profiles?Summary: Is is possible to automate the sumbittion or approval of a profile based on the status of another profile? Content (please ensure you mask any confidential info…
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ARCS Profile Segment Sub-Segment disabledSummary Sub-segment checkboxes disabled after original creationContent Hi, I've recently created an ARCS application with a Profile & Sub-segment definition. I've had to…
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Reconciliation Compliance - Summary Reconciliation Status Update IssueHi, We are facing an issue with the update behavior of the Summary Reconciliation status in Reconciliation Compliance. Current Behaviour: • When a Summary Reconciliation…
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Power user not able to edit Group and Summary ProfileSummary: I have an ARCS Power User question. We have two Power Users; but they are unable to make edits to the Preparers and Reviewers in Workflow at the Profile level. …
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Outbound NACHA/ACH file exportHi, Does ARCS have the ability for an outbound integration of a NACHA or ACH file? The file would consist of balances/transactions pulled from ARCS to send externally to…
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Email Notifications IssueWe have enabled email notifications in test environment with 2 preparers and 1 reviewer for all reconciliations for the month of Mar-24 in arcs-test. Rest all periods ar…
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Why do I not see sub-system balances in Balance Summary after running the data load and import jobs?Summary: No sub-system balances in Balance Summary. Content (please ensure you mask any confidential information): I ran the data load, and the sub-system in the Workben…
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Transactions are not picked up in "Match" for Many to ManySummary: We have a Many-Many match rules set up for client with daily load of transactions in to each account. The transactions that are obvious match are not picked up …
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Need table with Period and supported frequencies for RC report buildSummary: Dear Team, I am looking for table with Period name and supported frequencies for RC report development. Content (please ensure you mask any confidential informa…
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Subledger Report ParametersSummary: We are currently running into an issue when creating a custom report to pull payroll data into our ARCS integration. When the report is run manually in the ERP,…
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How to extract ARCS all months Audit ReportSummary: We need to Export all months ARCS Audit Report but application Was not supporting to Export all data in Excel. EPM Automate also we don't have any command for t…
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FCCS to ARCS - Change 'Entity Currency' to Entity's currency codeSummary: Pulling data from FCCS to ARCS for Intercompany reconciliation compliance balances via data integration - need to map currency code to each entity to translate …
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Direct integration from Fusion ERP for reconciliation compliance transactionsSummary: Direct integration from Fusion ERP for reconciliation compliance transactions Content (please ensure you mask any confidential information): Hi all, we need to …
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ARCS - How to give a user access to specific profileHello All, I have a question about how to assign users access to reports in ARCS. I have created a report for each profile; each user should only be able to see the repo…
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Matched In-Transit ReportsSummary: Content (required): We are currently building a report to pull Unmatched Supported and Matched In-Transit transactions for a specific period. During our testing…
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Can you create a custom report binder or modify how the report binder is generated?Summary: We have a client who is requesting to modify what is generated in the report binder. They want to exclude some information that may not be necessary for their r…
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Can you manually create transactions for reconciliations using transaction matching?We have a customer that is wanting to manually add transaction lines to reconciliations for Transaction Matching instead of using an import file? Can this be done?
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Reconciliation between balances (ERP) and workbench data (FCCS)Summary: I would like to know the best way to set up a reconciliation between ERP ending balances and a workbench data file from FCCS in order to ensure that mapping bet…
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ARC top level members drill down : Getting error unknown member 1260046Summary: In ARC, we have configure ERP import format such that we are pulling segment values at top level only instead of All descendents. But, whlie Trying to drill thr…
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Auto Reopen of Summary Profile if any Child Profiles reopenedSummary: Content (please ensure you mask any confidential information): Can the system be configured to automatically trigger a reopen of the Summary Profile reconciliat…
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Is there a way in OCI Gen2 to embed the ARCS application to the Applications listing in OCI?Summary: I am trying to embed the ARCS application in our OCI Gen2 environment so that users can request access, but it looks like the option is unavailable. Is this pos…
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Is there a way to carve out offsetting lines after upload into ARCS ?Summary: Content (required): Carve out of offsetting lines in a given Balance Sheet detail lines. Say one has 1000 lines to upload and 700 of them offset with each other…
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Variance Analysis Group Recon alternate optionSummary: As we do not have the functionality of group reconciliation for the variance analysis method, has anyone implemented any alternate solutions? Content (please en…
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Unallocated Cash Split functionality is not working as expected in ARCSSummary: one of the account amount 1527,93 needed to be split in 715,79 and 812,14. the user entered the amount of 71579 (without the dots/comma) this results that the a…
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Question answered is carried forward to next periodSummary: Questions answered while submitting the reconciliations is carried forward to the next period? For ex - I have given answers to some of the question Content (pl…
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Need help to send email notification when the status changes to "closed" for TM reconciliationSummary: Need suggestion in sending reconciliation status "closed" email notification to users. Data from source gets loaded to a Balance comparison TM reconciliation/pr…
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How can I identify duplicate payments (two debit amounts) using TM in a single data sourceI am trying to identify duplicate payments in a single data source. Is there a way to configure the match rule to identify two debits with the same invoice number and am…
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Kindly let us know how many backup Preparer.Kindly let us know how many backup Preparer can be defined on Single profile and at what level it will be sent for approval if we create reconciliation.