Tasks to be completed when documenting an operation (from creation to publication)1. Enter the Title of the operation / page2. Add the following Labels :
3. Fill in all fields as described above4. Once the description of the operation is completed, ensure it is approved and published by launching the SBS-Finance approval workflow |
| Domain: Central Finance Processes & Compliance |
Responsibility area: I prepare the figures to be reported for the monthly KPI in Qlikview |
We have defined threshold to close accounts with non-significant balance which should not be reconciliated (KLE=25K€/ NKLE=35K€).
Key legal entities
Non Key legal entities
See Finance Glossary:
We have 6 templates to be used according reconciliation month
WP1 KLE
WP1 NON KLE
PF1 KLE
PF1 NON KLE
PI1 KLE
PI1 NON KLE
3.1.1. I update the exchange rate
Use the information sent by BFC Admin or the Adoc file

On filter exclude on table the option below:
Do not consider for the threshold following accounts: |
| STATUS CLO + REV |
| AUTOCERTIFY |
| GROUPED |
| BANKS (PR) (WP1 e PF1) to PI1 A500* acc items |
| HR L600-100/L600-200/L600-300 |
| RULE ENGINE |

On filter Absolute Amounts make the filter according to the value:


We have a macro file to enter on SAP insert a comment and close the accounts automatically.
Based in the previous template you will copy and past the following information on Macro file

After update every column as above I click on box Update ARA.
** This process should be run to WP1, PF1 and PI1.
End of document.