Account Reconciliations
Discussion List
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Reviewer not receiving notificationSummary: Reviewer not receiving notification Content (required): Reviewers/approvers are not receiving notification in Microsoft outlook when recons are submitted for ap… -
Load Cloud ERP Journals Via OTBI More FrequentlySummary: Currently, we load our Cloud ERP Journals to ARCS on a daily basis. This is simple to achieve by pulling all journals posted the prior day. As we continue to ma… -
Compulsory to provide Justification on Rejection of the ReconciliationSummary Compulsory to provide Justification on Rejection of the ReconciliationContent Hi All, The requirement is when the reviewer rejects the reconciliation it should b…User_2025-02-04-00-45-32-798 76 views 7 comments 0 points Most recent by Kunal Baikar Account Reconciliation -
Drill through from Group Details is showing multiple records instead of only one lineSummary: Drill through from Group Details is showing multiple records instead of only one line, It is showing all transaction contributing to balance available on summar… -
Does ARCS Support Translation?Summary Reconciling Translated BalancesContent My client has its headquarter based in US and has branches across the globe (in Europe etc). They want to reconcille balan…Prashant Tiwari 148 views 7 comments 0 points Most recent by Tim Gaumont-Oracle Account Reconciliation -
1-M and M-1 with Subset Match RulesSummary: We need to understand how the 1-M & M-1 with subset match rules is trying to identify transactions on the Many side. For instance, say there are 100 transaction… -
Auto reconcilation for closed periods.Hi Team, Our April month period was in closed state, but we observed lot of April month reconciliations were in open (with Preparer) state. When we checked the Auto reco…Srinivas Nuthi 11 views 2 comments 0 points Most recent by Tim Gaumont-Oracle Account Reconciliation -
Is there a way to add periods in DM using import file? For Both Global/Application mapping?Summary: Currently we have to manually add periods under DM-->Set up--> Period Mapping-->Global Mapping and Application Mapping, is there a way to load periods here? or …Kimberly Carranza 91 views 11 comments 0 points Most recent by Tim Gaumont-Oracle Account Reconciliation -
How to automate the Import Premapped balances data loadSummary: Hi All, We want to load ending balances & using Import Pre-mapped balances we have tries loading the same. We want to automate this load in ARCS Prod. Kindly he… -
Need Clarification on ARCS New feature as part of 23.11 patch - ARCS Match Type application rolesAs part of 23.11 patch update , oracle has provided below new feature for ARCS 1. The Match Type – Manage role enables users to manage match types, adjustment attributes… -
Naming convention of Account IDs for Group RecsSummary: Hi All, We are currently working on creating group profiles for the recs which can be grouped together to sign off the balances at a group level with each code … -
Different starting period Frequency setup for profiles in Account reconciliationHi All, I have requirement to setup frequency for profiles. Example : In the current system, Quarterly setup period is Mar-Jun-Sept-Dec Along with for few profiles i nee… -
Individual reconciliations with “Unexplained Differences” are not allowing to submitHi Team, Individual reconciliations with “Unexplained Differences” are not allowing to submit, same should be applied to groups. Please check and suggest, how to we fix …Srinivas Nuthi 21 views 1 comment 0 points Most recent by Arjun Kumanduri-Oracle Account Reconciliation -
Unable to Export More Than 49901 Rows in ARCS Audit ExportSummary: Hello , We are unable to export the data for all the months using the "Audit" tool . Note : We are able to export only 49901 Rows . Kindly assist . Thanks in ad… -
Is there a way to delete matched transactions?Summary: We need to initialize and clear all data from ARCS. Is there a way to delete matched transactions or all the data in the application. Thanks! Content (please en… -
Loading Transaction Matching for all profilesSummary: We receive a daily GL transaction file that contains transactions for 40 + profiles. It is the same scenario for bank files (1 daily file that includes all bank…