Tables Involved CM Reconciliation Process
1) Run the program- Bank Statement Loader to load data in following Open Interface tables
CE_STATEMENT_HEADERS_INT_ALL (Stores Information about bank statement Header details)
CE_STATEMENT_LINES_INTERFACE (Stores Information about bank statement Line details)
2) Run the program- Bank Statement Import to load data in following Base tables from Interface tables.
CE_STATEMENT_HEADERS
CE_STATEMENT_LINES
3) Error information is stored in following tables while running Bank Statement Import
CE_HEADER_INTERFACE_ERRORS
CE_LINE_INTERFACE_ERRORS
4) Run the program – AutoReconciliation which in turn calls AutoReconciliation Execution Report (CEXINERR)
(AutoReconciliation –> CE_AUTO_BANK_REC.statement –> CE_AUTO_BANK_MATCH.match_process)
5) Error information is stored in following table while running AutoReconciliation Program
CE_RECONCILIATION_ERRORS
6) Reconciliation history or audit trail is stored in table– CE_STATEMENT_RECONCILS_ALL. Each row represents an action performed against a statement line.
7) Transactions from all the views below are consolidated into CE_AVAILABLE_TRANSACTIONS_V for bank statement reconcillation
CE_101_TRANSACTIONS_V — GL journal entry lines
CE_185_TRANSACTIONS_V — Treasury Transactions
CE_200_TRANSACTIONS_V — AP payments
CE_222_TRANSACTIONS_V — AR cash receipts
CE_260_TRANSACTIONS_V — Bank statement lines available for reconciling bank errors
CE_801_TRANSACTIONS_V — Payroll payments