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Account Reconciliation
Discussion List
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Account Reconciliation repositorySummary: Hi All, When we import profile via EPM automate and the file store in Account Reconciliation repository. Where can we see Inbox/outbox folder file in ARCS appli…
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Account reconciliationSummary: Content (please ensure you mask any confidential information): Version (include the version you are using, if applicable): Code Snippet (add any code snippets t…
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ARCS feedback - anonymization dataSummary: ARCS feedbakc to SR Oracle - anonymization data Content (please ensure you mask any confidential information): Hello All, I need to provide a feedback to SR Ora…
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Inventory Transactional Level Reconciliation with General Ledger ERP fusionSummary: We are looking forward to have transactional level reconciliation for inventory in ARCS. Content (please ensure you mask any confidential information): Hello Ex…
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Sub-segment check box not getting enabled in profile segments - EPM ARCSSummary: Hi Team - We are trying to add an intercompany segment to the profile along with the account ID and company segments. We have added the intercompany segment to …
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BAI file format error while loading to ARCSSummary: The BAI file load balances fails in ARCS if the file has no 015 or 010 tags on the 03 row for eg. 1234 is the account no on the 03 row but the row has no 015 or…
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Prevent notification on Late reconciliationSummary: Is there a way to prevent notification getting triggered to Users on late reconciliation , not as something individual set up from Preference but as Admin set u…
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How to Drill to Subsystem in ARCS?Summary: I'm able to drill to General Ledger in ARCS, however, when I try to drill to Fixed Assets Subsystem, I'm getting 'Error fetching drill url' Where do you setup t…
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Data load mapping: Two lines showing under All mapping type instead of Like- how did that happen?Summary: We use "Like" mapping type for all of ARCS. Two lines have appeared under type "All" for one of the administrators. How did that occur? We always go to like tab…
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Intercompany balance reconciliationSummary: Process for creating Intercompany balance reconciliation setups in both DM and ARCS Content (please ensure you mask any confidential information): Please let me…
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Can we add more than one preparer, group or team on one profile (TM)?Summary: For the organization's transaction matching process for intercompanies transaction loads, we have 2 entities loading into one profile. Change when we create the…
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Editing PeriodSummary: csv update for periods does not work after a period edited through screen. Content (please ensure you mask any confidential information): I found that once a pe…
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Account Addition and Profile Inclusion in 'Reconciliation' ClusterIs there a way to add an account to the 'reconciliation' cluster, or can we include an existing profile in it? All the created profiles are currently only accessible und…
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How can I use wildcard in a multi dimension data load mapping?Summary: In Data Management, I want to define the value of the 'Profile' dimension based on two other dimensions (the dimensions 'Segment 4' and 'Segment 8'). Content (p…
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Issues with Uploading Pre-Mapped Balances and Invalid Columns ErrorWhen uploading pre-mapped balances, the system is unable to recognize the columns I added. It shows an "Invalid columns" error, even though I included them in the match …
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ARCS - how to proceed with Reconciliation for Expenses and income accounts in ARCSSummary: Reconciliation for Expenses and income accounts Content (please ensure you mask any confidential information): we have a requirement to add Expenses and income …
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Diff in RTF custom reportSummary: We are trying to difference in two columns in RTF but not getting desired result. Answer should be 0 Content (please ensure you mask any confidential informatio…
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Customized report data integration error in ARCSSummary: We are uploading ERP GL clearing data using a customized report for the ARCS system for reconciliation purposes. When I upload and run the file, it shows 'compl…
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Connecting ARCS to ERP Subledger ReportsSummary: For Balance Comparison reconciliations in Rec Compliance, we want to pull in AR subledger balances from the seeded Receivables Aging by General Ledger Account R…
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Email notifications on bulk updatesSummary: Users do not receive email notifications when bulk actions for Submit and Reject are used. When the same recs are submitted or rejected individually then the em…
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TM: Unmatching Items re-opened reconciliations for yearSummary: We are using Transaction Matching to assist with the daily reconciliation of a profile\account. There were a list of transactions that were matched back on 12/2…
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Creating a dashboard in ARCSSummary: How to create a dashboard in ARCS which can provide detailed information such as list of Integration jobs, Their current status (Pending, Completed, Failed), No…
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Can preparers add attachment when recons have been auto closed?Summary: General Ledger balance and the Subledger balance have no variances triggering the auto reconciliation rule. Internal Auditors want all reconciliations to have a…
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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…
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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…
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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…
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EPM Module Licence monitoring - can i find out which users have never logged in?I have users I know have never used the module, but need to know so to remove access. how can I tell? in EPM and/or Fusion? many thanks
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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…
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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…
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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…