Steps: Process Automated Transaction Matching on Journal Lines
You can create rule sets that process matching rules to automate transaction matching
on journal lines, enabling you to reconcile your ledger account ending balances on
journal lines. Using the automated matching process, you can then mark offsetting
journal lines as matched and focus on journal lines that remain unmatched.
- Access theSet Up Transaction Matchingtask.Select theMatch on Typethat Workday with use on all matches.Switching theMatch on Typewill inactivate any rule sets using the previous matching type.Security:Set Up: Account Certificationsdomain in the Financial Accounting functional area.
Use the
Find Journal Lines
report or create custom reports to gather
data on journal lines that remain unmatched and review open transactions that make up the
balance.