Did You Know that Financial Integrities Can be Fixed in Real Time Now in JD Edwards E1 9.2?


Rick Meyers, Functional FIN/HR Consultant


Did you know that Financial Integrities can be fixed in Real Time now in JD Edwards EnterpriseOne 9.2?


  • Until now users had to submit the Integrity Reports in batch overnight and then the users would try and reconcile each of the Integrity Reports after completion.
  • The Integrities Reports and Updates are still displayed on G09222.
  • In the 9.2 release, the Interactive Integrities and Updates have been created and are displayed on G09221.
  • The benefits now are that you can identify your financial integrity issues in real time.
  • Users can resolve the integrity issues while working in the Integrative Integrity Program, which enable faster resolution and for any subsequent financial reporting.
  • Setup a watch list to receive notification of potential integrity issues.

QA 1

Now users can review any integrity issues, and quickly resolve the integrity issues within the interactive integrity checking programs:

  • Batches Out of Balance (P007032)
  • Transactions to Batch Headers (P0072131)
  • Companies Out of Balance (P097001)
  • Account Ledger to Account Master (P097021)
  • Account Balance to Account Master (P097031)
  • Accounts to Business Units (P097041)
  • Companies by Batch Out of Balance (P09706)
  • Financial Integrities Work Table Purge UBE (R007013)

Each of the Integrity Interactive Applications also have processing options that can be setup and reviewed. For example, the Transactions to Batch Headers P0072131 displays the following processing options tabs.

Default tab: The system uses the batch date, not the G/L transaction date, to select records.

 QA 2

Process Tab: This processing option is only applicable if you select Build Batch Headers from the Form exit to create batch header records in the F0011 table.

QA 3

If you leave this processing option blank, the system uses version ZJDE0001.

QA 4

When selecting to access the Transactions to Batch Headers form P0072131. Use the fields in the header to search for transactions by batch date, batch type, or batch number, posted status, or prior days.
You can use the Transactions to Batch Headers program to quickly correct transaction errors by accessing the Batches program (P0011).
On the Work with Batches form, the system displays the batch number and batch type of the batch with the error. From the Error Description, users can determine whether the transaction originates from the Accounts Payable, Accounts Receivable, or General Ledger system and navigate to the appropriate transaction program to post transactions with unposted header or detail records.

Example: Transactions to Batch Headers

QA 5

The system displays four types of errors in the Transactions to Batch Headers program:

  • Transactions that have no batch header record.
  • Transactions in which the batch header is unposted and the batch detail is posted.
  • Transactions in which the batch header is posted and the batch detail is unposted.
  • Batch header records with no transactions.

The system also displays the transaction record count for the (F03B11, F03B13, F03B14, F0411, F0413, F0911) for a specific batch and document number that have a posted status that is different than the posted status in the batch header (F0011).
Users can select the transactions using the green check mark to select the transaction to create a batch header for the detail records or select the transaction with the Form Exit to delete the batch header.
Additionally, the watch list functionality works with each of these interactive batches but requires a user license to One View Reporting Foundation.