Create a journal entry
Create, validate, and submit journal entries for month-end account closing. The workflow verifies that debit and credit amounts balance before entries reach governance and approval.
Before you begin
- You must have access to create journal entries.
- Prepare a general ledger (GL) entry file containing the journal lines. The file typically includes the account code, debit amount, credit amount, description, and optional reference fields.
Role required: An MDM Orchestrator journal entry role. (For more information, see Roles used in App Engine for ERP rapid deployment packs.)
Procedure
Result
The approver reviews the request. For the approval steps, see Approve or reject requests in Approval Hub. After approval, the journal entry is posted to the GL in the connected ERP system. If rejected, the task returns to the creator with a rejection reason for correction and resubmission.