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Accounting › Financial Controls

Reconciling Items

A reconciliation with a difference and no explanation is a number somebody will plug.

Where to find it

  1. Module: Accounting
  2. Group: Close & Compliance
  3. Section: Financial Controls
  4. Screen: Reconciling Items

Address in the console: /accounting/reconciliation-items

List · 11 columns · 12 fields on its form · 2 of them required

What the list shows

These are the columns of the list, in the order they are drawn. Any of them can be sorted on, filtered on, hidden, or exported.

ColumnKindField name
ReconciliationCoderecon_no
AccountCodeaccount_no
LineNumberline_no
TypeStatusitem_type
DescriptionTextdescription
AmountAmountamount
DatedDateitem_date
AgeNumberage_days
OwnerTextowner_name
TargetDatetarget_date
ResolvedYes or nois_resolved

The form

What is asked for when a record is created here. Required fields are marked; a choice drawn from a configuration list is one an administrator can extend without a release.

FieldTypeChoicesNotes
Reconciliation required Choice Looked up from existing records
Line Number
Type Choice timing, in_transit, error, unidentified, accrual, fx, cut_off, duplicate, write_off, other
Description Text
Amount required Number
Item date Date
Age (days) Number
Document reference Text
Owner Choice Looked up from existing records
Action Text
Target date Date
Resolved Yes or no

The rules that apply here

Everything on this screen obeys the platform rules rather than rules of its own. The ones worth knowing before you use it:

Beside it in Financial Controls