The tables, of views, from which Create Accounting takes source data to use in rules and create entries are referred to as_________.

The tables, of views, from which Create Accounting takes source data to use in rules and create
entries are referred to as_________.

The tables, of views, from which Create Accounting takes source data to use in rules and create
entries are referred to as_________.

A.
Transaction Objects

B.
Event Entities

C.
Mapping Sets

D.
Accounting attributes

E.
Event Classes

Explanation:
The Create Accounting program processes eligible accounting events to create
subledger journal entries. To create the subledger journal entries, the Create Accounting program
applies application accounting definitions that are created in the Accounting Methods Builder
(AMB).
The Create Accounting program:
* Validates and creates subledger journal entries
*Transfers the final journal entries in the current batch run to General Ledger and starts the
General Ledger posting process
*Generates the Subledger Accounting Program Report, which documents the results of the Create

Accounting program
Note: Create Accounting Program parameters include:
* Ledger: limits accounting events selected for processing to those of a particular ledger
* Process Category: restricts the events selected for accounting to a particular process category
Oracle Subledger Accounting Implementation Guide



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Pinni

Pinni

A (Trx Objects)