Advisor Webcast Questions? Analyzing Discrepancies in the Output of Period Close Reconciliation Repo
- PRODUCT FAMILY: Cost Management
November 13, 2012 at 11 am ET, 9 am MT, 8 am PT
The Period Close Reconciliation report provides a comparison between the accounting value and the on hand inventory quantity, this webcast is to show how to analyze the discrepancies between the two. This one-hour session is recommended for technical and functional users who are responsible for Inventory Values and accounting values transferred to GL.
TOPICS WILL INCLUDE:
- Description of the Period Close Reconciliation process.
- Description of how the Inventory and Accounting values are Calculated.
- Description of the parameters for running the Period Close Reconciliation Report.