HOW TO CREATE GENERAL LEDGER STEP BY STEP SCREEN SHOTS
To define primary ledger:-
Setup financials accounting setup manager accounting setup
- Click on next
- Primary ledger will open, give the required parameters and if we want to add reporting currency. Click on add reporting currency.
- Click on add another row
- Click on next and click on finish.
- It will give a confirmation message that an accounting option is
required. So click on define accounting option. (or) click on return to accounting setups
query your ledger and click on update accounting option.
In ledger option
click on update accounting option.
- Click on next and in the ledger option give the retained earnings
account in accounts segment, then click on next and click on finish.
Next
Next
Next
- Now ledger is defined. One we define the ledger we cannot change
the currency, coa, calendar. But we can change the accounting method.
·
If we
query the ledger we will have the primary ledger, reporting currency, balancing
segment value assignment, sub ledger accounting options and sequencing setup
steps.
·
Click on
reporting currency then click on update, take default rate type and click on
apply. Now click on complete.
Next
Next
Next
DEFINING LEGAL ENTITY
Setupàfinancialsàaccounting setup
managerà legal entity.
·
Click on
legal entities.
·
Click on
create legal entity.
·
Legal
entity window will be open. Give the mandatory fields. Create a legal address.
·
Click on
apply.
Enter the Mandatory fields
Next
·
Click on
accounting setups.
·
Query
your ledger.
·
Select
the required ledger and click on update on the primary ledger.
·
Click on
add legal entity.
·
Click on
add legal entity.
·
Find the
legal entity and select the required legal entity.
·
Then
click on apply.
·
Now
operating unit’s setup step will be added.
·
Click on
update balancing segment values.
·
Click on
add balancing segment values.
·
Select
the required companies i.e. balancing segment values.
·
Click on
apply.
·
Now inter-company accounts setup step will be added.
·
Click on
operating unit update button click on complete.
·
Click on inter-company account update button click on complete.
·
Click on sub
ledger accounting update button click on complete.
·
Click on
sequencing update button click on complete.
·
Click on balancing
segment values update button click on complete.
·
It will
show a warning that your ledger is about to save, if u saves this you can’t do
any more modifications in the ledger.
·
Click on
yes.
·
Now your
primary ledger and reporting currencies status is complete.
See Whether All Accounts are updated ie in not in progress or incomplete, and close Window
Create
responsibility and assign primary ledger to the responsibility:-
·
Go to system
administrator
·
Create
the responsibility for GL.
·
Go to the
profile options and assign primary ledger value to the profile option GL ledger
name for your responsibility.
Create a user and assign responsibility to the user:-
·
Create a
user in the system administrator.
·
Assign
the GL responsibility and system administrator to the user.
·
Need to
Query your account so press F11
·
Enter your
user name , enter first three or four letter of your user name (Ex: User Name :
IND% put percentage symbol and then press Ctrl+F11, then your user name will be
displayed, use UP and DOWN arrow keys to select the correct user ie starting
with IND there will lot more other users so select your user by using arrow
keys
·
While
assigning system administrator to your responsibility in r12 system will difficultly
assign application diagnostics to your responsibility.
To open periods:-
Navigation: - setupàopen/close
·
While
opening the periods give the ledger name for what we want to open the periods.
·
Give the
first period name of our calendar.
Click on Find
Click on Open
·
Now first
period of the calendar will be open.
·
To open
next period click on next period.
·
Here in
r12 we are having the target period give the current period up to which we want
to open.
·
Then it
will automatically open the periods up to the target period.
·
A program
will be running while opening the periods.
Click on yes
Press Alt+V+R to see the program status
All These Dates are entered previously in the Calender (few other steps required to add this dates) There will be 12 months and 1 extra day is added its not updated here, it is the adjusting day it would be from 31-Dec-2013 to 31-Dec-2013, ie only one day , and at the end of the 13 slot we need to Enable
Reporting currency in R12:-
·
For mrc
in r12
·
We have to
create the GL responsibility for reporting currency.
·
Then we have
to assign reporting ledger to the profile option GL ledger name for the
reporting GL responsibility.
Enter The same Details and just save and close
In Responsibility Screen
Add these details
èCreate
a user for the reporting currency and assign reporting GL responsibility to
that user:-
·
Create
user and assign reporting GL responsibility to that user
·
Open the
reporting user and open periods as mentioned for the primary ledger user.
Because now all these time we have added our personal ledger, so we need to open the dates.
- Click on the 6th icon beneath the toolbar, it is used to Switch responsibilities
- Now select the Responsibility that we created, and open it.Here we opened SAN Primary Ledger, Previously all this time we worked in System administrator, from now we work in our on ledger that is SAN PRIMARY LEDGER
Opening Periods
Click open
Click Open Period
Enter Target Period
Select Concern period and click open
Now
switch to the primary user and define conversion rates.
·
Define
the conversion rates
Navigation:- setupàcurrenciesàratesàdaily.
·
Now enter
a journal in the primary ledger user and post it.
Navigation:- JournalàenteràJournal
·
After
posting automatically system will create a copy for the reporting currency.
·
The
journal entered and posted in the primary ledger user will automatically posted
in to the reporting user.
ð Crate ledger set:-
èTo
define ledger set:-
Navigation:- setupàfinancialsàledger set.
·
For the
ledger set the requirement will be same coa and calendar.
·
Give the
required parameters like ledger set name, coa, cal.
·
Select
the ledgers what you required.
ð
Assign
the ledger set to your responsibility:-
·
Go for
system administrator
·
Go for
the profile option.
·
For our
responsibility assign our ledger set to the GL data access set profile option.
ð
Switch to
the GL responsibility
ð
And go
for the journal and u can check the ledgers in the ledger set in the ledger
name as below.
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