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How To Diagnose Inventory Accruals And Accrual Write Off Issues (Doc ID 866733.1) To Bottom
Purpose Yes
No
Troubleshooting Steps
Release 11i Write Off Process
Document Details
Release 12 Write Off Process
R12 Process Flow By PO Example
Type:
Table Level Contrast R11i And R12 Status: TROUBLESHOOTING
Accounts Requirement For Write Off Last PUBLISHED
Major
Processing Overview Mar 11, 2015
Update:
Mar 11, 2015
Data And Queries Last
Update:
Still Have Questions?
References
Related Products
Oracle Cost Management
APPLIES TO: Oracle Payables
Oracle Purchasing
Oracle Cost Management - Version 11.5.10.0 and later
Oracle Payables - Version 11.5.10.0 to 12.1.1 [Release 11.5 to 12.1] Information Centers
Oracle Purchasing - Version 11.5.10 to 12.3 [Release 11.5 to 12.3]
Information Center: Oracle
Information in this document applies to any platform.
Payables [1417598.2]
CSTACRLR: Accrual Reconciliation Load Program
CSTACRAP: AP and PO Accrual Reconciliation Report Information Center: Oracle
CSTACRWO: Accrual Write-Off Report Manufacturing Period Close
POXACWRO: WIP Accrual Write-Off Report [1399895.2]
AP AND PO Write Off Form Information Center: Oracle
Miscellaneous Write Off Form Cost Management [1417659.2]
View Write Off Transactions
Information Center:
***Checked for relevance on 04-JUN-2013***
Procurement Suite Index
[1391332.2]
Information Center:
PURPOSE Purchasing [1391694.2]
Show More
Accrual Write Off process identifies and writes off items that misstates the accrual balance on the Accrual Reconciliation
Reports. Such transactions will also include non accrual transactions wrongly debited or credited to the Inventory AP Accrual
Account. The following are potential transaction candidates to be written off : Differences between receipts and invoices with Document References
no intention of future invoicing, Discrepancies in supplier billing, A/P No PO Transactions - Invoices not matched to PO or R12 How To Diagnose And
incorrect data conversion invoices, A/P No Match-Valid Invoice with no corresponding receipt, Invoices Matched to Wrong PO Reconcile Inventory AP
or Receipt, Miscellaneous inventory or work in process transactions that do not belong to Accrual Accounts, Payable Entries Accrual Transactions Using
for Sales Tax and freight that do not belong to Accrual Accounts. Reconciliation Reports
[728871.1]
The Write Off process is different from R12 and R11i. We will cover both and highlight the differences. In R12 Accrual Write FAQ R12 Essentials Of Accrual
Off excludes the write off transaction from the AP and PO Report and dynamically post to GL and excluded from the Net Accounting [827125.1]
Accrual balance. Therefore the risks and problems associated with Manual Journals are avoided
R12 Account Requirements
For Inventory Accrual
For relevant Notes relating to Inventory Accrual Reconciliation process please refer to
Reconciliation [824388.1]
the following Notes:
Note.1107953.1 - R12 Accrual Balance Mismatch Between Accrual Reconciliation Report - Troubleshooting
Recently Viewed
Note.1113712.1 - R12 FAQ Accrual Accounting - On Line and Period End Accruals
Note 728871.1 - R12 How To Diagnose And Reconcile Inventory AP Accrual Transactions Using Reconciliation Reports How To Diagnose Inventory
Note 824388.1 - R12 Account Requirements For Inventory Accrual Reconciliation Accruals And Accrual Write
Off Issues [866733.1]
TROUBLESHOOTING STEPS How AutoReverse Works
with the Profile Option GL:
Launch Auto Reverse After
Open Period [805458.1]
Release 11i Write Off Process
Why We Can Match Invoices
1) Run the Accrual Rebuild Reconciliation Report Or the Rebuild Manager if Available and make sure the Date range includes to Receipts Which Have
Been Written Off?
the transactions to be written off
[1402967.1]
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4) Select the source as PO or A/P OR AP and PO if both should be written off or any other source you intend to write Off Payments Accounted with
extra Write Off Lines to
Extent of AWT Amount
5) Put in the date range
[1498190.1]
Please refer to Note:728871.1 under 'New Art' for detailed, dynamic and automated examples of R12 Write Offs.
In R12 Accrual Write Off not only excludes the write off transaction from the AP and PO Report but also dynamically post to
GL and excluded from the Net Accrual balance. Therefore the risks and problems associated with Manual Journals are
avoided
Before write off can be done in R12 data must first exist in CST_AP_PO_RECONCILIATION table.
Both the AP and PO Accrual Reconciliation Report and Accrual Write Off Form query their transactions from this Table.
The following steps should be followed before querying transactions from the Write Off Form:
2) Run the Create Accounting Program in Final Mode with subsequent Transfer of Entries to GL
3) Run the Accrual Reconciliation Load Program which will populate two Tables:
CST_RECONCILIATION_SUMMARY and
CST_AP_PO_RECONCILIATION
This will delete the accrual entry from CST_AP_PO_RECONCILIATION table and populate the write off transaction in
CST_WRITE_OFFS table. This write off transaction can also be viewed in the form View Write offs. In order to create
accounting entries for the write offs in SLA and GL for submit the Create Accounting program after completing the write offs
in the Accrual Write Off Form. The Write Off Transactions can be viewed in SLA menu by navigating to Tools > View
Accounting in the View Write offs form.
Let us use PO #60116 to demonstrate the Write Off Process in R12 discussed above
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Po_Distribution_ID 200577
Accrual_Account_ID 163682
Po_Balance -150
Ap_Balance 125
Write_Off_Balance 0
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AP PO Accrual transaction form – User can decide to write-off the accrual balance of that PO
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Once submitted all data of that PO distribution ID will deleted from CST_AP_PO_RECONCILIATION and SUMMARY tables
Write off form – A write transaction will be generated in CST_WRITE_OFFS table associated with that Po_Distribution_ID
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Write_Off_ID 3
Offset_Account_ID 163681
Accrual_Account_ID 163682
Write_Off_Amount 25
Transaction_Type_Code WRITE OFF
Po_Distribution_ID 2005
Write_Off_ID 3 3 3
Rcv_Transaction_ID 2771437 2771439
Inv_Distribution_ID 1401618
Transaction_Type_Code RECEIVE RECEIVE AP PO MATCH
Amount -125 -25 125
Quantity -5 -1 5
Operating_Unit_ID 7375 7375 7375
Ae_Header_ID 115918 115925 115923
Ae_Line_Num 1 1 1
In R12 write off transactions are posted from Costing to GL using XLA
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Below we will contrast in more details the write offs in R11i and R12
Let us assume we have two PO's PO#1 and PO#2
Let us assume further that for every transaction we have 1 Line and I distribution.
Period #1 Jan 2009 (For easy analysis let us presume for each PO)
PO Price $10
Quantity Ordered 10 in 1/1/2009
Quantity Received 5 in 1/1/2009
Quantity Invoiced 5 for PO#1 on 1/31/2009
Quantity Invoiced 4 for PO#2 on 1/31/2009
R11i
When the Accrual Rebuild/or Rebuild Manager is run on 1/31/2009 after invoicing the following data will be retrieved to
AP_ACCRUAL_RECONCILE_TEMPS_ALL
PO#1 is self balanced (i.e. fully invoiced) but still loaded to the PO_ACCRUAL_RECONCILE_TEMPS_ALL
PO#2 has a balance of 10.
Customers can use the write_off checkbox to write off balance. They could also do mass write-off based on the tolerance.
Assuming they choose to write off the balance for PO#2, the write-off will immediately make PO#2 balanced. PO#2 and its
details will disappear from the reconciliation tables. Dynamic reconciliation. The write-off txn and its details will be
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generated. The automated accounting is done against the write-off txn. The data in write-off tables is persistent. There is a
track record, audit-able.
Write-off summary
Write-off details
Suppose a mistake is made in the write-off, use the reverse checkbox to reverse it. The reversal txn will have its own
accounting and transaction details. It also points to its original write-off txn. Auditable again.
Write-off summary
Write_off details
As soon as the reversal is done, the PO#2 becomes unbalanced again and it comes back to the reconciliation tables.
Dynamic reconciliation again.
Both write-off and its reversal contribute to the total balance of a PO distribution.
Reconciliation summary
Reconciliation details
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When new txns for both PO#1 and PO#2 come in Feb, the new data actually makes PO#2 balanced, so it comes off the
reconciliation tables. However, the new data for PO#1 makes it unbalanced for the first time, so we will load all its txns.
Reconciliation summary
Reconciliation details
The data in write-off tables remain. So at the end of second period, we have data in reconciliation tables for PO#1 that need
to be taken care of. We also have data in write-off tables for PO#2 for legal and auditing purpose.
For normal business, over the time most POs should be self-balanced and write-off would be needed only for a small portion
of problematic POs. Therefore, we will have lean reconciliation tables and manageable size of write-off tables.
The following Accounts set up is required for all Accrual Accounts to be used in the Reconciliation Reports and Write Off.
Setup: Declare the accrual accounts to be used in Load Program and accrual write off
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