Intercompany Journal Entry
An intercompany journal entry record is a specialized type of record available only in OneWorld accounts. An intercompany journal entry records debits and credits to be posted to ledger accounts for transactions between two subsidiaries. In an account that has the Multi-Book Accounting feature enabled, you can also use this record type to create book specific intercompany journal entries.
In the user interface, you access this record as follows:
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Intercompany journal entries – Go to Transactions > Financial > Make Intercompany Journal Entries. For help working with this record in the user interface, see Making Intercompany Journal Entries.
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Book specific intercompany journal entries – Go to Transactions > Financial > Make Book Specific Intercompany Journal Entries. Note that this form is available only to accounts that use Multi-Book Accounting. For help working with this record in the user interface, see Intercompany Journal Entries in Multi-Book Accounting.
The intercompany journal entry record is defined in the tranGeneral XSD, where it is called InterCompanyJournalEntry.
For more information about using SOAP web services to work with the intercompany journal entry record, see the following sections: