are 3 – 9 and 4 – 9. Each grouping is balanced using the suspense account.
Here are the intercompany entries produced.
Intercompany entry: Companies 3 and 9
Organization
Line Item
3.100
2200 – Accounts
Payable
3.200
2210 – Accounts
Payable Discounts
9.100
1200 – Accounts
Receivable
The entry is balanced, so no balance is written to the suspense account.
Intercompany entry: Companies 4 and 9
Organization
Line Item
4.100
2200 – Accounts
Payable
9.100
1200 – Accounts
Receivable
9.100
3201 – AR/AP
Suspense
The entry is balanced by writing -50 USD to the designated suspense account in the
organization of the receivables entity. Since the suspense balance is below the threshold
amount of 100 USD, the entry will not produce a warning during consolidation.
Match by Organization
If the consolidation hierarchy option Match by Org was set to Organization instead of
Company, the intercompany elimination entries produced would be different. In this
case, the eliminations would be grouped according to organization pairs: 3.100 – 9.100,
3.200 – 9.100, 4.100 – 9.100.
Intercompany
Debits
9.100
300
9.100
1500
3.100
Intercompany
Debits
9.100
450
4.100
4.100
Setting Up Intercompany Rules 10-7
Credits
1800
Credits
400
50
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