Category 117
Discussion List
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ARCS 25.11 Changes to Eligibility of Reconciliations for Auto Submit and Auto Approve RulesSummary: Can Oracle please explain what exactly is changing with this update in 25.11 Important Actions & Considerations? This sounds like existing functionality. IMPORT… -
How to import Amount divided in multiple columnsSummary: We are trying to import Amount data for Transaction Matching Profiles through DM/DI, but the Amount can be in two different columns. Content (please ensure you … -
Handling Invalid or Ignored Data in ARCS WorkbenchIn ARCS, if an external file includes accounts and transactions loaded via Data Load Rules (DLR) and those accounts are not mapped from source to target, they appear in … -
Drill through URL from ARCS Data Integration to ERP reportsI need some guidance on what is missing or incorrect in my Drill URLs. I am working on the drill through from ARCS Data Integration to the an out-of-the box ERP report n… -
Is 25.12 applied in test environment?Summary: 25.12 update to be applied on 5th December. Is it applied? Do we need to request to be applied? Please let me know. Content (please ensure you mask any confiden… -
Amount format mistake rejects line in data load without warning or errorWe have often incorrect data that users try to uplaod. This case, it was an amount with a space inbetween the minus and the value "- 123" instead of "-123". When loaded …Pieter-Jan Vandendriessche 20 views 4 comments 0 points Most recent by Jeremy Parra Account Reconciliation -
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…Tim Gaumont-Oracle 105 views 0 comments 1 point Started by Tim Gaumont-Oracle Account Reconciliation -
Clarification on Handling Reconciling Items and Adjustments in Subledger-to-GL Comparison in ARCSAs part of our ARCS implementation, we have configured subledger-to-GL reconciliations primarily using Balance Comparison formats. During our review, we identified scena…Mahesh_Mariappan 76 views 3 comments 0 points Most recent by Ryan Lunde-Oracle Account Reconciliation -
How to estimate number of Object Storage Requests from ARCS?Summary: How to estimate object storage costs for ARCS? Content (please ensure you mask any confidential information): We would like to start using object storage with A… -
ARM_RECON_ATTRIBUTES_1 table return no dataSummary: I tried to retrieve info of "assignments of the reconciliations" in the ARM_RECON_ATTRIBUTES_1 table, but a simple select (select * from ARM_RECON_ATTRIBUTES_1)… -
ARCS- Entered currency data LoadSummary: We are loading entered currency amounts from OEBS GL using an SQL query. For example, Account A1234(bank account) has a functional currency of EUR, and users ar… -
In Account reconciliation can journals posted as adjustments can be pushed back to source system?Summary: We know that journals can be posted in ARCS but can those journal posted in form of adjustments in ARCS can be auto write back or pushed back directly to source… -
ARM_SECURITY_CLAUSE in Oracle ARCS Custom ReportHello, We are trying to buld a custom report in Oracle ARCS using transaction Matching tables. Which columns or tables i should use to put a constraint on the User to on… -
IGNORE appears in Drill through details and in Invalid MappingsWe are extracting subledger ending balances from BIP reports into ARCS and have established integrations for both Entered and Functional currencies. Our requirement is t…Praveen Kumar B 80 views 7 comments 0 points Most recent by Mike Casey-Oracle Account Reconciliation -
Is it possible to have multiple functional currencies within a group reconciliation?Summary: Happy to be a part of this community as I've learned a number of things. The question I have relates to group reconciliations and whether it would be possible t… -
Prevent posted adjustments in GL from being sent back to ARCSSummary: Prevent posted adjustments in GL from being sent back to ARCS Content (please ensure you mask any confidential information): We have built an interface to send … -
Standard connector between Oracle ERP GL and ARCS for journal entriesHello, As far as I know, there is a standard connector available to interface adjustments from ARCS to ERP GL as well as for GL balances sent back to ARCS. After all, I … -
Rest API to download the audit log from ARCSSummary: Is there any rest API available to download the audit logs from ARCS. We have a SOX requirement that we want to automate. Content (please ensure you mask any co…KamalRawat9918 28 views 4 comments 0 points Most recent by Ashutosh Bhatikar-Oracle Account Reconciliation -
Direct Integration between ARCS Transaction matching Journals to ERP GLSummary: we are trying to build direct integration between ARCS TM Journal adjustments to ERP GL, but When passing data from ARCS to ERP to create Journal Entries we are… -
Did anyone tried out Global Integration Token in ARCS.Summary: Created a token with reconcile attribute as Account ID and associated the created token in custom report as filter. Not able to see the token account details in… -
ARCS data management multidimension mappingSummary: When I tried adding mappings within Multidimensional Mapping(ARCS), only the Data dimension appeared in the filter, and no other dimensions were visible. Howeve… -
ARCS Custom ReportSummary: We need to load the entered currency amount from OEBS GL into ARCS. When we load this data, profiles in the source system show multiple currencies in the balanc… -
Enabling Account Reconciliation adjustmentsHi, I have prepared a reconciliation as a "balance comparison with transaction matching". I'm the preparer of the reconciliation and the period status is open. But I don… -
In Transaction Matching - What do you use for match results reporting?Summary: Reporting or Dashboards for match results in Transaction Matching Content (please ensure you mask any confidential information): I can see the dashboard for unm… -
Managing Older Open Reconciliations "bulk close"Summary: Hi, We have several users—both preparers and reviewers—with a significant number of older-period reconciliations still open. We’re exploring ways to help them c… -
Enterprise journal connection in ARCS failingSummary: Enterprise Journal Connection in ARCS failing Content (please ensure you mask any confidential information): I am trying to connect FCCS to ARCS using Service a… -
Is it possible to run the ARCS report for multi periods at a time using runcompliancereport command?Summary: Currently we have the ability to run a ARCS report through EPM automate using the command runComplianceReport for specific to a period, Is it possible to run th… -
Export Data management and detail balance using epmautomateHi Team, I want to export data from data management and detail balance. However, I couldn't find the command to export those. Could you please help us with the epmautoma… -
How can we have creation date as matching rule conditionSummary: We want creation date of transaction as an attribute in Rule condition. In filter condition how can we have creation date as a comparison between system date. C… -
Profile import is erroring when Default Currency Bucket 2 is includedSummary: Recently a number of profiles were created, but invalid. The issue was no currency was selected, even though the import file included 'Yes' and 'CAD' for Enable…