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Account Reconciliation
Discussion List
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25.12 Now Available for Account Reconciliation Customers - Test out the new AI features!Hello everyone, Version 25.12 is available for request via SR if you would like to be upgraded to it. As we covered in the Nov 2025 webinars, there are new Artificial In… -
25.11 update will NOT be applied on the production environmentsIn case you missed the announcement in the EPM Platform forum please review: For Account Reconciliation, please note this important point: Account Reconciliation, Narrat… -
Links to previous Account Reconciliation webinars & trainingsHello everyone - see below for all the relevant previous EPM Account Reconciliation events into one place: May 2026 - Agentic AI Strategy and Roadmap for EPM (Recon Agen… -
Post your dashboard examples here!Hello everyone. I would like to use this forum post for us to share our favorite dashboards. I’ll go first! (see below) Please note: If you have a “How do I…” or "How to… -
Webinar - Using Attributes, Filters and Rules - 10/14 - 8.30 PM IST / 8 AM PTSummary: How Attributes, Rules and Filters can deliver tremendous value to customers Why Oracle Fusion Cloud EPM Account Reconciliation is so powerful and so much better… -
Late Reconciliations Based on Days of the WeekSummary: We have a requirement in which the reconciliations will be considered late by Preparer after 15 work days. This seems to function normally with the standard fun… -
How to create a report that compares data across Match Types?Summary: PROBLEM We occasionally have merchant files that get updated without us knowing, but they don’t cause the DLR to error. So we end up with missing data in ARCS. … -
Is there a way to audit transactions deleted from Transaction Matching?Summary: When you enable Transactions to be deleted in a Match Type, it allows to delete an individual transation, but that's not captured in any place, unless there's a… -
can we populate Risk value at Rec summary level from transaction items in Reconciliation ComplianceSummary: Hi @Arjun Kumanduri-Oracle, We have another similar scenario like RAG, each transaction will be assigned as whether it is a risk value (if the age is more than … -
What is the proper Adjustment Date Setting Match Date vs Last Accounting Date?Summary: Regarding the set up of the Adjustment Accounting Date to Match Date vs Last Accounting Date, we had initially selected Last accounting Date across all of our M… -
Data load successfully in Exchange but not on to the profileSummary: Most of the accounts profiles are with formats of Account Analysis. Data loads successfully and also assigns the profile in the Data Exchange but I don't see th… -
What is the proper Set Adjustment Date Setting: Match Date vs Latest Accounting Date in Match Group?Summary: Regarding the set up of the Transaction Matching Adjustment Accounting Date to Match Date vs Latest Accounting Date in Match Group, we had initially selected La… -
Enabling USD reporting in ARCS, along with current local currency setupWe are currently working on a change to the reconciliation process and would like to move toward seeing reconciliations in USD. Our requirement is to have both Local and… -
Oracle link is not opening for Jun-26 updateOracle EPM Monthly Update link for Jun-26 is not opening https://docs.oracle.com/en/cloud/saas/account-reconcile-cloud/adarc/ai_arcs_agents.html -
How to remove the orphaned objects from the object storage bucket for ARCS.Summary: How to remove the orphaned objects from the object storage bucket? Content (please ensure you mask any confidential information): As object storage will not rem… -
Can I Display Totals in a Custom Dashboard Using Pivot View?Summary: Hi, We are creating some simple dashboards using the custom dashboard feature. I don't see an area to control the display totals or even subtotals. Are those po… -
Many-to-Many Match Rule (GL vs Bank) Not Picking Up MatchesHello, I have a Many-to-Many rule configured for GL and Bank sources. Sample data along with the match rule built is attached for reference. However, the rule is not pro… -
Can we not use balance attribute in custom attribute formula?Summary: Hi, We have to write a formula in calculation of a custom attribute, based on the value of a balance attribute. example: my balance attribute name is OSP RAG: t… -
How to handle unmatched transactions whose match is a historical transaction not in ARCS?For Transaction Matching, if a transaction is unmatched, and its match exists in historical data not loaded to ARCS, what is best practice for dealing with the unmatched… -
can we create custom attribute with dynamic list?Summary: Hi, In our rec, we want to create a transaction level attribute for Reconciliation compliance with dynamic list with below scenario: Transaction Attribute Name:… -
Copy transactions from prior period with multi-currency buckets enabled issueWe are currently configuring the “Copy Transactions from Prior Period” rule within Account Reconciliation and are encountering challenges with multi-currency balance buc… -
Can we hide the properties tab from righthand-side summary page of reconciliation?Summary: Hi, User wanted to know, if we can hide the properties tab from Balance summary page of reconciliation. They do not want to see few tabs from right-hand side me… -
ARCS camt.053 adapter validationSummary: Is it possible to turn off ARCS TIS_CAMT.053 Format Bank File Transactions adapter validation during transaction import? We intermittently receive an error belo… -
email notifications on successful data loadsSummary: For ARCS Data management, We do get email notifications for data load failures, but for the instances when the data loads do not run probably due to server unav… -
Verify data loaded into environment and check transaction countSummary: We are looking to verify the number of transaction loaded via the integration job in the pipeline matches the row count that we sent in the file Trying to figur… -
can we bulk delete transactions in Reconciliation compliance?Summary: Hi, User posted around 500 transactions using import pre-mapped transactions option for 200 Balance comparison recs. Out-of-the 500 transactions, user wanted to… -
Prediction skipped for high-volume account in Transaction Matching AssistanceHi Team, During our review of the Transaction Matching Assistance (Predict Match) process, we observed that AI-predicted matches are not being generated for Account ID '… -
Does ARCS support using non‑English languages in the Description attribute for Transaction MatchingSummary: Does ARCS support using non‑English languages in the Description attribute for Transaction Matching, and can those descriptions be reliably used in auto‑matchin… -
What to write in the report parameter listSummary: We are creating an integration between ERP BIP report and ARCS. We have 5 parameters in the BIP report on ERP Side and they are : Ledger Name, Entity_from, Enti… -
ARCS TM - Update to match type reflecting in Data Integration applicationsWe have a match type configured with two data sources. When attributes were added to one of the data sources, it was observed that the associated target applications for… -
How to assign Individual User as Primary Preparer/Reviewer and Team as Backup?Summary: Hi All, Requirement from Customer: For each reconciliation profile, the customer wants the workflow assigned as below: Primary Preparer: Individual named user B… -
can we share invalid mappings (missing profiles in ARCS) as an email attachment after the data loadSummary: Hi, In our current implementation, we are loading the balances from Oracle GL, which we are automating using OIC. During the balance load, let say we get warnin… -
Can we see the sum of transactions from transaction page of transaction matching-ARCSSummary: Hi, While analysing the transactions from transaction page of transaction matching, the users wanted to know, if they can see the transactions amount sum like ,… -
ARCS Audit Screen Rows LimitationHi, Noticed that currently ARCS Audit Screen has a hard row display limit of 2,000 rows regardless of the "Maximum Number of Items displayed in a List" setting. In the p… -
How currency conversation handle in ARCSSummary: In the context of Accounts Payable, vendors may raise invoices in non‑USD currencies, and at month‑end the outstanding liabilities are revalued in the GL. For A…