The Accounting Manager requests that a schedule be created to automatically post journals from subledgers atdifferent times.
Which journal attribute should you use to set the automatic posting criteria?
A.
Journal Description
B.
Journal Source
C.
Journal Category
D.
Journal Batch
Explanation:
Use the Balances Transfer process for generic cross ledger balance transfers. These processes transfer
copies of the data from your source ledgers to your target ledgers. Initiate this process at periodic intervals as
needed. The result of a balances transfer is an automatically created, postable journal entry that updates
account balances in the target ledger. The resulting journal in the target ledger is marked with the journal
source of Balance Transfer. Also use the Balances Transfer process to transfer specifically from the primary
ledger to its balance level secondary ledger. The journal source for these journals is Primary Ledger.
https://docs.oracle.com/cd/E48434_01/doc.1118/e49598/F1006649AN1021F.htm
B
B and C