Print Intercompany Reconciliation Report
Explanation
This activity is used to print the intercompany Reconciliation Report. This 
report is a list of intercompany balances from reporting and adjustment 
journals for a selected period and balance version. This report can be used for 
analyzing differences from the intercompany elimination which took place during 
the Group Consolidation process. The information is printed based on the 
selection specified.
Prerequisites
In order to perform this activity, one or more journals containing 
intercompany balances should exist.
System Effects
As a result of this activity, the report is either printed on paper or 
displayed on the screen.
Window
Intercompany Reconciliation Report
Related Window Descriptions
Intercompany Reconciliation 
Report
Procedure
To print the intercompany reconciliation report:
	- Open the Intercompany Reconciliation Report 
	dialog box.
 
	- In the Period field, enter the period from which you want to 
	print intercompany transactions.
 
	- In the Currency field, enter a currency for the report. The 
	amounts will be displayed in the currency entered in this field, in addition 
	to being displayed in reporting entity currency and transaction currency.
 
	- In the Balance Version field, enter the balance version from 
	which intercompany transactions should be included in the report.
 
	- In the Reporting Transaction Type field, enter the reporting 
	transaction type from which intercompany transactions should be included in 
	the report. If a single % sign is entered, all reporting transaction 
	types fulfilling the other selection criteria will be included in the 
	report.
 
	- In the Reporting Entity field, enter the reporting entity from 
	which intercompany transactions should be included in the report. If a 
	single % sign is entered, all reporting entities fulfilling the other 
	selection criteria will be included in the report.
 
	- In the Elimination Rule field, enter the elimination rule from 
	which intercompany transactions should be included in the report. If a 
	single % sign is entered, all elimination rules fulfilling the other 
	selection criteria will be included in the report.
 
	- Select a value for the Account Selection field to specify the 
	basis on which accounts should be included in the report.
 
	- Select the Exclude Elimination Rules with No Difference check box 
	if only intercompany transactions where there is a matching difference 
	within the same elimination rule should be printed in the report. 
 
	- Select the Show All Code Parts check box if all the code parts 
	and their values should be visible in the report.
 
	- Click OK to print the report.
 
Note: You can also print this report from the 
Order Reports dialog box.