Golgappa.net | Golgappa.org | BagIndia.net | BodyIndia.Com | CabIndia.net | CarsBikes.net | CarsBikes.org | CashIndia.net | ConsumerIndia.net | CookingIndia.net | DataIndia.net | DealIndia.net | EmailIndia.net | FirstTablet.com | FirstTourist.com | ForsaleIndia.net | IndiaBody.Com | IndiaCab.net | IndiaCash.net | IndiaModel.net | KidForum.net | OfficeIndia.net | PaysIndia.com | RestaurantIndia.net | RestaurantsIndia.net | SaleForum.net | SellForum.net | SoldIndia.com | StarIndia.net | TomatoCab.com | TomatoCabs.com | TownIndia.com
Interested to Buy Any Domain ? << Click Here >> for more details...

What is Journal categories ? and what are reversal methods ?

Answer Posted / bobbyiiit

Journal categories help you differentiate journal entries by
purpose or type, such as accrual, payments or receipts. When
you enter journals, you specify a category.

You can define intercompany and suspense accounts for
specific categories. You can also use document sequences to
sequentially number journal entries by category. Journal
categories appear in standard reports, such as the General
Journals report.

General Ledger provides the following predefined journal
categories:

Name Description
-------------------------------------------------------------------------------------------------------
Accrual Month End Accrual Entry
Adjustment Adjusting Journal Entry
Allocation Allocation
Budget Budget
Carry Forward Carry Forward Journal Entry
Chargebacks Chargebacks
Consolidation Consolidation
Credit Memo Applications Credit Memo Applications
Credit Memos Credit Memos
Debit Memos Debit Memos
Deferred Depreciation Deferred Depreciation
Depreciation Fixed Asset Depreciation
Discounts Discounts
Exchange Gain/Loss Gain or Loss from Foreign Currency
Freight Shipping Charges
Headcount Statistical Entry for Headcount
Labor Cost Labor Costs
Misc Receipts Miscellaneous Receipts
Move/Merge Mass Maintenance Move/Merge
Move/Merge Reversal Mass Maintenance Move/Merge Reversal
MTL Material Transactions
Other Default Category required by intercompany contra logic
Payments Cash Disbursements
Payroll Payroll Distribution Entry
Purchase Invoices Accounts Payable Invoices
Purchases Purchase Orders
Rate Adjustments Rate Adjustments
Receipts Cash Receipts
Receiving Inventory Receipts
Reclass Reclassification
Reconciled Payments Reconciled Payments
Requisitions Requisitions
Revaluation Revaluation Journal Entry
Revenue Revenue
Sales Invoices Accounts Receivable Invoices
Tax Tax Journal Entry
Trade Receipts Trade Receipts
Usage Cost Usage Cost
WIP Work in Process

Is This Answer Correct ?    2 Yes 1 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

How to refund for a customer who returns goods and wants a refund for $600 in R12 In above scenarios customer does not want Credit Memo or On- Account Credit, he wants refund check . and as we know we do not issue check from AR. How can we issue Check from AP and how offsetting is done for the same in R12

7388


Re: While you are in implemenation what are u faced the issues ? tell me what some ap & GL issues?

2382


We are running Oracle EBS 11i and yesterday whilst doing my month-end I forgot to select "calculate finance charge" on form ARXSUPST AR Print Statement run. I am struggling to get to My Oracle and was hoping someone out there might have experienced or heard of a similar problem. What are my options to rectify this situation... I look forward to you inputs..... Thank you Regards Salie

2712


What is Reporting of financial data in a project.

2063


Payables Applications Technical Reference Manual

2502


Charge Back Setups ?

2208


What is the use of hr: user type, while configure multiorg?

1082


What are the inventory report to check inventory status.

2466


Anyone provide the oracle fin/scm definetions

2404


Define the activities of the Configuration Manager (AP,GL,FA) in the team. Give examples

2516


How do u bridge the gaps in functional understanding of AP,GL,FA. explain with some live examples.

2572


Re: what are the Issue that we face in Gl,PO and AP while Supporting

2261


What is difference between primary and secondary ledger

1150


What is the Process of Reconciliation Between AP to GL

1673


what is the difference between before pages trigger and after parameter trigger in reports ?

2404