0% found this document useful (0 votes)
277 views13 pages

General Ledger: Journal Import Process (Doc ID 130542.1) : GURUDAT (Available) Contact Us Help

Journal Import is a process that loads accounting transactions from subledgers and external systems into the General Ledger tables. It works by first populating an interface table called GL_INTERFACE with transaction data. Then, the Journal Import process loads this data into the General Ledger tables, creating unposted journal batches. Key tables involved include GL_INTERFACE, GL_INTERFACE_CONTROL, and GL_INTERFACE_HISTORY.

Uploaded by

Madhavi Singh
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
277 views13 pages

General Ledger: Journal Import Process (Doc ID 130542.1) : GURUDAT (Available) Contact Us Help

Journal Import is a process that loads accounting transactions from subledgers and external systems into the General Ledger tables. It works by first populating an interface table called GL_INTERFACE with transaction data. Then, the Journal Import process loads this data into the General Ledger tables, creating unposted journal batches. Key tables involved include GL_INTERFACE, GL_INTERFACE_CONTROL, and GL_INTERFACE_HISTORY.

Uploaded by

Madhavi Singh
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
You are on page 1/ 13

PowerViewisOff

Dashboard

Knowledge

ServiceRequests

GURUDAT(Available)

(0)

ContactUs

Help

Patches&Updates
GiveFeedback...

GeneralLedger:JournalImportProcess(DocID130542.1)

ToBottom

InthisDocument

Wasthisdocumenthelpful?
Yes
No

Abstract
History

Details

Section1:JournalImportOverview

Section2:DatastructuresinvolvedintheJournalImportprocess

GL_INTERFACE

GL_INTERFACE_CONTROL

GL_INTERFACE_HISTORY

GL_IMPORT_REFERENCES

Type:
Status:
LastMajor
Update:
Last
Update:
Language:

Section3:TransferandImportProcesses

A.EnteringtransactionsintotheInterfaceTable

B.JournalImport

Definetheconcurrentprogramcontrols.

SubmitJournalImportRun

JournalImportConcurrentProgram:GLLEZL

C.JournalImportCorrect

D.JournalImportDelete

Section4:JournalImportErrorCodes

Section5:TroubleshootingScripts

KnownIssues

DocumentDetails

CommunityDiscussions

Feedback

WHITEPAPER
PUBLISHED
Apr11,2013
Nov21,2014
English

RelatedProducts

DocumentReferences

ImpactofR12Subledger
Accounting(SLA)onGeneral
Ledger(DrilldownandJournal
Import)[434226.1]

APPLIESTO:

11i:GeneralLedgerJournal
ImportTroubleshootingGuide
[330821.1]

RecentlyViewed
CreatingTransactionSources
UsedForAutoInvoiceand
theTransactionsWorkbench
[Video][1068008.1]
PayablesOpenInterface
ImportNotGenerating
VoucherNumberForInvoices
[141063.1]
VoucherNumberIsNot
GeneratedForAuto
GeneratedIndialocalization
Invoices.[550236.1]

AccountingtransactionsareoriginatedasaresultofnormalbusinessactivitiesinFinancialandManufacturingmodulesofOracle
Applications,aswellasinexternalmodules.InordertoregisterthosetransactionsintotheGeneralLedger,aprocesscalled
JournalImportmusttakeplace.

GeneratinganOutputExcel
withaRTFTemplateColumns
andRowsfromaTableare
Combined[1590858.1]

Thisprocessworksbasedontheexistingdatainaninterfacetable.ThetableiscalledGL_INTERFACE.

HowToSetASystemProfile
ValueWithoutLoggingInTo
TheApplications[364503.1]

Eachsubledgerpopulatesthistablethroughoneormorespecificprocesses.Oncetheinformationisintheinterfacetable,the
JournalImportprocessloadstheGeneralLedgertablescreatingunpostedjournalbatches.

HISTORY
May2000:OriginalpdfdocumentcreatedbyAmandaGonzalez
October2000:Revisedbytheauthor
17Nov2011:ConvertedformatandcomplementedforR12byNunoMascarenhas

DETAILS

Se ction1:JournalImportOv e rv ie w
AccountingtransactionsareoriginatedasaresultofnormalbusinessactivitiesinFinancialandManufacturingmodulesofOracle
Applications,aswellasinexternalmodules.InordertoregisterthosetransactionsintotheGeneralLedger,aprocesscalled
JournalImportmusttakeplace.

GeneralLedgerFAQfor11i
JournalImport[342391.1]

R12:FAQonTransfertoGLin
R12[876190.1]

ABSTRACT

InformationCenter:Oracle
GeneralLedger[1489229.2]

References

OracleGeneralLedgerVersion11.5andlater
Informationinthisdocumentappliestoanyplatform.
Executable:GLLEZLJournalImport
Executable:GLLEZLSRSExecutabletoallowsubmissionofJournalImportthroughtheStandardRequest
SubmissionForm:GLXSTCPC.FMBConcurrentProgramControls
Form:GLXJIRUN.FMBImportJournals
Form:GLXJICOR.FMBCorrectJournalImportData
Form:GLXJIDEL.FMBDeleteJournalImportData

OracleGeneralLedger
InformationCenters

Summary

ShowMore

JournalImportmusttakeplace.
Thisprocessworksbasedontheexistingdatainaninterfacetable.ThetableiscalledGL_INTERFACE.
Eachsubledgerpopulatesthistablethroughoneormorespecificprocesses.Oncetheinformationisintheinterfacetable,the
JournalImportprocessloadstheGeneralLedgertablescreatingunpostedbatches.
TheonlyexceptiontothisprocessistheOracleFixedAssetsmodulebeforeFamilyPackG,whichdirectlyloadstheGeneral
Ledgertables.CurrentlyFAalsopopulatestheGL_INTERFACEtabletotransfertheaccountingdatatoGL.
Thefollowingdiagramillustratestheflowoftheprocedure:
SEQ.

ACTION

CONDITION

GO
TO

PopulateGLinterfacetable(subledgers,externalsystems,ADI,
etc.)

ImportjournalbySource/GroupID

JournalImportterminatedwithoutErrors?(checktheexecution
reportforerrorsorwarnings)

Yes

11

No

Yes

No

IstheSourceastandardSubledger?

CorrecttheerrorsintheSource.Incaseofastandardsubledger
youmayneedsupportassistance.

IsaR12environment?(thennoneedtodeleteasalreadyrolled
backtoXLA)

Yes

No

Deletetheincorrectbatchtobeimportedagain.

NeedtoTransferthecorrectedbatchagainfromthesource

Yes

No

10

ManyErrors?

10

UsetheCorrectJournalsformtofixtheerrorsintheinterface

11

ThebatchiscreatedreadyforPosting

END

Se ction2:Datastructure sinv olv e dinthe JournalImportproce ss


GL_INTERFACE
ThistableisusedtoimportjournalentrybatchesthroughJournalImport.YouinsertrowsinthistableandthenusetheRun
JournalImportformtocreatejournalbatches.CurrentlytheJournalImportcanimportfromtableswithdifferentnames,butthe
samestructure.
YoumustsupplyvaluesforallNOTNULLcolumns.
NotNullColumns(mayhavevariationsdependingontherelease):
STATUS
ACCOUNTING_DATE
CURRENCY_CODE
DATE_CREATED
CREATED_BY
ACTUAL_FLAG
USER_JE_CATEGORY_NAME
USER_JE_SOURCE_NAME

GL_INTERFACE_CONTROL
ThistableisusedtocontrolJournalImportexecution.WheneveryoustartJournalImportfromtheImportJournalsform,arowis
insertedintothistableforeachsourceandgroup_idthatyouspecified.WhenJournalImportcompletes,itdeletestheserows
fromthetable.IfyourunJournalImportfromoutsideoftheImportJournalsform,youmustinsertarowintothe
GL_INTERFACE_CONTROLtablefirst.
IsfromthistablethatJournalImportknowsthenameoftheinterfacetabletoimport(INTERFACE_TABLE_NAME).
ThephaseoftheprocessisindicatedthroughtheStatusfield.Itcanhavethefollowingvalues:
PPendingthejournalimportprocesshasnotbeenstarted.
SSelectedthedatagroupidentifiedbySourceandGroupidhasbeenselectedforprocessing.
IInprocessthedatagroupidentifiedbySourceandGroupidhasbeenselectedandisactuallyinprocess.
NotNullColumns:
JE_SOURCE_NAME
STATUS

GL_INTERFACE_HISTORY
ThistablestorestherowsthataresuccessfullyimportedfromtheGL_INTERFACEtablethroughtheimportprocess.TheGeneral
LedgerapplicationaddsrowstothistableeverytimeyousuccessfullyrunJournalImport,withtheArchiveJournalImportData

LedgerapplicationaddsrowstothistableeverytimeyousuccessfullyrunJournalImport,withtheArchiveJournalImportData
optionenabled.ThisoptionisdefinedontheConcurrentProgramControlsform.Thisoptionincreasesexecutiontimebutcanbe
usedforauditingpurposes.
Youusethisinformationforhistoricalreferenceonly.GeneralLedgerdoesnotusethedatastoredinthistable.

GL_IMPORT_REFERENCES
DependingontheJournalSourceconfiguration,thistablemaybepopulatedbytheJournalImportProcess.Youcanspecifythe
JournalEntrysourcesforwhichyouwanttomaintainyourtransaction'soriginbyentering'Yes'intheImportJournalReferences
fieldoftheJournalSourcesform.WhenJournalImportisrunforasourcethathas'Yes'setfortheImportJournalReferences
field,thistablewillbepopulatedwiththenecessaryinformationtomatchjournalentrylinestotheoriginatingdocumentsinthe
source.ThisfunctionalityisknownasAccountDrilldown.
Thisusesthefollowingfieldstolinktothesubledgerinformation:
gl_sl_link_id
gl_sl_link_table
InR12normalsubledgersthisalwayspointstotheXLAtables(valueis'XLAJEL'),whilstin11iitpointstosubledgerspecific
tables.
Thedatastoredinthistablemayvarydependingonthereleaseandtypeoftransaction.Thereferencefieldsareusedin
differentwaysbyeachsubledger.
Inthefollowingtableistheusethatsomeofthemostcommonsubledgersgivetothesefields:
Transactions

Reference
1

Reference
2

Reference
3

Reference
4

Reference
5

Reference
6

Reference
7

Reference
8

Reference
9

RE LE A S E 11i
P ay ables/P ay ments

V endor
name

Inv oiceid

C heckid

P ay ables/Inv oices

V endor
name

Inv oiceid

Receiv ables/Transactions posting


controlid
Receiv ables/Receipts

P aid
inv oice
number

'A P P ay ments'

S O Bid

Distribution
line
number

Inv oice
number

'A P Inv oices'

S O Bid

customertrxid

custtrxline trxnumber
gldistid

cust
account
number

C U S TO M E R

billto
customerid

C M ,DM ,
C B,IN V

ty pe||accountclass

posting
controlid

cashreceiptid
||cashreceipt
history id

lineid

receipt
number

pay from
customer

TRA DE

TRA DE _'source_ty pe' A R_C A S H _RE C E IP T_H IS TO RY

Receiv ables/A pplications


(cash)

posting
controlid

cashreceiptid
||receiv able
applicationid

lineid

receipt
number

trxnumber,
null

custtrxty pe

pay from
customer

TRA DE ,
C C UR

application
ty pe||sourcety pe

A R_RE C E IV A BLE _A P P LIC A TIO N S

Receiv ables/A pplications


(C M )

posting
controlid

receiv able
applicationid

lineid

trxnumber

trxnumber,
null

custtrxty pe

billto
customerid

C MA PP

application
ty pe||sourcety pe

A R_RE C E IV A BLE _A P P LIC A TIO N S

Receiv ables/A djustments posting


controlid

adjustmentid

lineid

trxnumber

adjustment
number

custtrxty pe

billto
customerid

A DJ

A DJ_sourcety pe

A R_A DJU S TM E N TS

Receiv ables/M iscel.Rec.

posting
controlid

cashreceiptid

lineid

receipt
number

cashreceipt
history id

pay from
customer

M IS C

M IS C _sourcety pe

A R_C A S H _RE C E IP T_H IS TO RY

Receiv ables/Bills
Receiv able

posting
controlid

transaction
history id

lineid

trxnumber

customer
trxid

custtrxty pe

draw eeid

custtrxty pe

BR_sourcety pe

A R_TRA N S A C TIO N _H IS TO RY

P urchasing

P O ,RE Q

docheaderid

doc
distribution
id

docnumber

Inv entory

mta.glbatch mta.organization
id
code

C onsolidations(TRX)

consolidation consolidationrun source


id
id
hournal
headerid

source
journalline
num

sourceccid

'Transaction'

subsidiary
SO B

C onsolidations(BA L)

consolidation consolidationrun sourceccid


id
id

currency
ty pe

budget
v ersionid

'Balances'

subsidiary
SO B

Intercompany

transaction
number

C LE A RIN G , S E N DE R,
O F F SET
RE C E IV E R

transactionid

offsetline
number

E xternal
check
number

Inv oice
distribution
linenumber

Inv oicepay mentid

C ash,Discount,Liability ,E xchange
G ain,
E xchangeLoss,
F utureP ay
E xpense,Liability

RA _C U S T_TRX_LIN E _G L_DIS T

sourcebatchid

period

amountty pe

actualamount

RE LE A S E 12
(allsubledgers)

entity _id

accounting_ev ent_id ae_header_id ae_line_num DRamount

Se ction3:Transfe randImportProce sse s


A.EnteringtransactionsintotheInterfaceTable
InOracleApplications,modulessuchasAP,AR,PO,INVandWIPhaveconcurrentprocessesthattaketheinformationfrom
databasestructuresinwhichthebusinessactivityisstoredandinsertsitintotheGL_INTERFACEtable.
SomeofthetransferringconcurrentprogramsbymoduleinRelease11iare:
Module

Program

Executable

AP

PayablesTransfertoGeneralLedger

APPPST

FA

CreateJournalEntries

FAPOST

C Ramount

FA

CreateJournalEntries

FAPOST

AR

GeneralLedgerTransferProgram

ARGLTP

AX

AXTransfertoGL

AXXPSTGL

PA

InterfaceBurdenCosttoGL

PADTBC

PRC:InterfaceLaborCoststoGeneralLedger

PAGGLT

PRC:InterfaceUsageCoststoGeneralLedger

PASGLT

PRC:InterfaceRevenuetoGeneralLedger

PATTGL

INV

TransfertransactionstoGL

INCTGL

InR12theCreateAccountingforeachsubledgerpopulatesthecommonXLAtables(SubledgerAccounting).Whentheaccounting
isFinalthentheTransferJournalEntriestoGLprocesspopulatestheGLinterfaceandautomaticallysubmitstheJournalImport.
ItcanalsosubmitthePostfortheimportedjournalsautomatically.
FormoredetailinformationpleaseseeCreateAccountingandTransferJournalEntriestoGLPrograms.

Iftheinformationcomesfromanexternalmodule,theGL_INTERFACEtablemustbepopulatedthroughameanssuchas
SQL*Loader,Pro*C,aPL/SQLprocedureorApplicationsDesktopIntegrator(ADIorWebADI)).
Followingisadescriptionofimportantfieldsintheinterfacetable:
AccountCombination
Anaccountcombinationcanbestoredintwoways:
EnteringavalueforfieldCODE_COMBINATION_ID.
Enteringavalueforeachsegmentoftheaccountingflexfieldinuse.ThefieldsareSEGMENT1,SEGMENT2,...,
SEGMENTnaccordingtothedefinitionofthestructure.
Iftheaccountcombinationisstoredinbothways,theJournalImportprocesswilltakethevaluestoredintheSEGMENTn
columns.
GroupID
Thisfieldisusedbythesendingprocesstogroupthetransactions.
WhentheinformationcomesfromOracleApplicationssubledgers,thevalueforthisfieldisassignedautomaticallyandis
definedbythesequenceGL_INTERFACE_CONTROL_S.TheJournalImportprocessselectsrecordsbasedonSOURCEand
optionallyGROUP_ID.
JournalType
Budget,encumbranceoractualjournalscanbeenteredintoGL_INTERFACE.Thetypeofjournalthatisbeingcreatedis
storedinthefieldACTUAL_FLAG.Thepossiblevaluesare:
A:Actual
E:Encumbrance
B:Budget
CurrencyConversion
Journalsenteredinacurrencyotherthanthefunctionalcurrencycanbestoredintwoways:
Entertheamount,conversiontypeandconversiondateinthefieldsENTERED_CRorENTERED_DR,
USER_CURRENCY_CONVERSION_TYPEandCURRENCY_CONVERSION_DATErespectively.Ifyouenteraratetypeof
User,thenyoumustalsoenteraconversionrateintheCURRENCY_CONVERSION_RATEcolumn.Forallother
conversiontypesyoumustenteraconversiondateintheCURRENCY_CONVERSION_DATEcolumn.Inthiscase,the
JournalImportprocessautomaticallycalculatestheamountinthefunctionalcurrency.
PopulatefieldsENTERED_CRorENTERED_DRandACCOUNTED_CRorACCOUNTED_DRwithoutspecifyinga
conversiontypeanddate.TheAccountedamountmustbeyourconverteddebitorcreditamount.
JournalSource
ThisvalueisstoredinfieldUSER_JE_SOURCE_NAMEandcorrespondstothenameofthejournalsource.Examples:
Receivables,Payables,Inventory,etc.
ReferenceFields
Thereferencefieldsareoptional,butiftheyaredefined,theyareinterpretedinthefollowingway:
REFERENCE1

Batchname.Itsstructureis:<Reference1><Source><RequestID><BalanceType><GroupID>

REFERENCE2

Batchdescriptionifoneisnotdefined,itwilllooklike:JournalImport<Source><RequestID>

REFERENCE4

Journalentrynamewiththeformat:<Category><Currency><ConversionType><Conversion
Rate><ConversionDate><EncumbranceTypeID><BudgetVersion>.Someofthisinformation
dependsonthejournaltype.

REFERENCE5

Journalentrydescriptionifoneisnotgiven,itwillfollowthisformat:JournalImportRequestID

REFERENCE5

Journalentrydescriptionifoneisnotgiven,itwillfollowthisformat:JournalImportRequestID

REFERENCE6

Referenceorjournalnumber.Ifitisnotdefined,itisautomaticallydefinedasJournalImport
Created.

REFERENCE7

ReverseJournalFlag

REFERENCE8

ReverseJournalPeriod

REFERENCE10

Journallinedescription

REFERENCE21...30 ThevaluesandmeaningsforthesefieldsdependontheJournalSourceandRelease.Theystore
informationusedtoidentifyandmatchthejournalwiththesourcedocument.Thevaluesforthese
fieldsmaptoREFERENCE_1throughREFERENCE_10intheGL_JE_LINEStableandthe
GL_IMPORT_REFERENCEStable.

B.JournalImport
Journalimportisacomplextool,whichperformsalotofvalidationonthousandsofrecordsatatime.Journalimportloadsdata
fromthesubledgersintotheGL_INTERFACEtableandthenintoGL_JE_BATCHES,GL_JE_HEADERSandGL_JE_LINEStables.

Definetheconcurrentprogramcontrols.
TheConcurrentProgramControlsformcanbeusedtoimprovetheperformanceoftheJournalImport,
MassAllocation/MassBudgeting,andOpenPeriodprograms.TheperformanceofJournalImportcanbeimprovedby
increasingthenumberofjournallinesitholdsinmemory.
BeforeR12thissetupwasdoneinaspecificform:

Formname:GLXSTCPC
Responsibility:GeneralLedgerSuperUser
Navigation:Setup>System>Control
InR12thesetupusestheProfileOptionsinstead:
GL:NumberofAccountsInMemory
GL:ArchiveJournalImportData
GL:NumberofRecordstoProcessatOnce
GLJournalImport:SeparateJournalsbyAccountingDate

SubmitJournalImportRun
OncethedataisintheGL_INTERFACEtable,youcanmanuallysubmittheimportprocessfromtheImportJournalsform.

Formname:GLXJIRUN
Responsibility:GeneralLedgerSuperUser
Navigation:Journals>Import>Run
CurrentlyitisalsopossibletosubmitthejournalimportfromtheSubmitConcurrentRequestsform.

Source:SelecttheSourcefromwhichyouwantJournalImporttocreatejournalentries,suchasReceivables,Payables,
etc..
NotethatinR12,thetransactionsareonlyintheinterfacetemporarilyduringthejournalimport(thedatastaysintheXLA
tables),thereforeitisnotpossibletosubmitthejournalimportforsubledgersourcesusingsubledgeraccounting.The
JournalImportprogramisautomaticallylaunchedbythetransferaccountingprogram.
GroupID:IfthereisavalueintheGROUP_IDfieldintheGL_INTERFACEtable,eitherintentionallypopulatedbytheuser,
orbythesubledgercreatingthesetransactions,thentoimportthesetransactionsintoGeneralLedger,theusermust
specifytheGroupIDontheImportJournalsform.
AlistofvaluesoptionisprovidedontheGroupIDfieldontheImportJournalsform,whichallowstheuserstopickavalid
value(existingintheinterfacetables).GeneralLedgerwillthenimportdatawiththejournalsourceandGroupID
combinationyouspecify.
IfyoudonotspecifyaGroupID,GeneralLedgerimportsdatafromthespecifiedjournalentrysourcewithno
correspondingGroupID(nullGroupID).
InthiscaseitcanhappenthatdifferentbatchesintheinterfacewithnullGroupIDgetmergedduringthejournalimport.
ToavoidthiswerecommendtoalwaysusetheGroupID.
Youcanchooseyourrunoptionsaswellaswhethertoimportdescriptiveflexfieldsatthistime.

JournalImportConcurrentProgram:GLLEZL
Thisconcurrentprocessgeneratesarequestlogfileandalsoanexecutionreport.Therequestlogfileshowsvaluable
informationfortroubleshootingpurposes,suchas:
SetofbooksorLedgerIDandname
ChartofaccountsID
Numberofsegmentsintheaccountingflexfieldandadescriptionofeachsegment
Functionalcurrency
Whethersuspenseaccountingisenabled
TheJournalImportExecutionReportsummarizestheresultsoftheimportandpointsoutthelinesthathaveerrors.
Italsocontainsalistintheendwiththedescriptionofallthepossibleerrorcodes(itdoesn'tmeanthattheyhave
occurred).

C.JournalImportCorrect
IftheJournalImportrunresultsinerror,norecordswiththeselectedSourceandGroup_idwillbeimported.Allofthoserows

IftheJournalImportrunresultsinerror,norecordswiththeselectedSourceandGroup_idwillbeimported.Allofthoserows
willremainintheGL_INTERFACEtable.
InR12,therowscommingfromsubledgeraccountingarerolledbacktotheXLAtablesandremovedfromtheinterface,sothey
mustbecorrectedatsubledgerlevelandthentransferredagain,toavoidreconciliationproblemsbetweenGLandthe
subledgers.

YoucanusetheCorrectJournalImportDataformtocorrecttheerrors.
Thefirstscreengivesyoutheoptiontofindthejournalswithcertainerrors.
Formname:GLXJICOR
Responsibility:GeneralLedgerSuperUser
Navigation:Journals>Import>Correct
QueryontheerrorsyoufindintheJournalImportExecutionReporttocorrectthedata.Youcanonlyqueryjournalimport
linesthathaveastatusofErrororCorrected.

Thisscreenshowstheactualjournalwiththeerrors.
Examples:EF04,EF02etc.

Formname:GLXJICOR
OncecorrectedyoucanthenclickontheImportJournalsbuttontorerunJournalImport.
Thescreenshowsthedifferenttypesofinformationinthejournalyoucanchoosefrom:
Batches/Journals,
Accounts,
JournalLines,
DescriptiveFlexfields
References.
Dependingonwhattheerroris,selectthepartofthejournalyouneedtogotoinordertomakeyourcorrections.

D.JournalImportDelete
UsethisONLYifthedatacanberepopulatedintotheGL_INTERFACEtable,suchasfromaspreadsheetorfromanexternal
source.Theprincipleisthesameasforjournalcorrection:onlythebatcheswithstatusoferrorcanbedeleted.
InR12thisisnotpossibletodeletesubledgerbatchesbecausetherowsarerolledbacktotheXLAtablesandremovedfromthe
interface.
CurrentlytheDeletionofthejournalsissubmittedasaConcurrentRequest:ProgramDeleteJournalImport
Data.

Olderversionsuseaformtodeletethebatch.

Formname:GLXJIDEL
Responsibility:GeneralLedgerSuperUser
Navigation:Journals>Import>Delete

SelecttheSource,RequestIDandGroupID.
WARNING!!!AfteryouDelete,youcannotgetthedatabackagain.
Iffromaspreadsheetoranothersystem(i.e.notasubledger)thenitcanberesent.
Sobecarefulwhenyoudecidetodothis!

Se ction4:JournalImportErrorCode s
FollowingisasampleofJournalImportvalidationerrors(PerJournalImportExecutionReport).Thismaynotbecompleteas
somenewcodesmaybeaddedasneeded.
PeriodErrorCodes
EP01Thisdateisnotinanyopenorfutureenterableperiod.
EP02Thissetofbooksdoesnothaveanyopenorfutureenterableperiods.
EP03Thisdateisnotwithinanyperiodinanopenencumbranceyear.
EP04Thisdateisnotabusinessday.
EP05Therearenobusinessdaysinthisperiod.
UnbalancedJournalErrorCodes
WU01Warning:Thisjournalentryisunbalanced.Itisacceptedbecausesuspensepostingisallowedinthissetofbooks.
EU02Thisjournalentryisunbalancedandsuspensepostingisnotallowedinthissetofbooks.
EU03ThisencumbrancejournalentryisunbalancedandtheReserveforEncumbranceaccountisnotdefined.
FlexfieldErrorCodes
EF01ThisAccountingFlexfieldisinactiveforthisaccountingdate.
EF02DetailpostingnotallowedforthisAccountingFlexfield.
EF03DisabledAccountingFlexfield.
EF04ThisisaninvalidAccountingFlexfield.Checkyourcrossvalidationrulesandsegmentvalues.
EF05ThereisnoAccountingFlexfieldwiththisCodeCombinationID.
EF06Thealternateaccountisinvalid
WF01Analternateaccountwasusedinsteadoftheoriginalaccount
WF02Asuspenseaccountwasusedinsteadoftheoriginalaccount
ForeignCurrencyErrorCodes
EC01AconversionratemustbeenteredwhenusingtheUserconversionratetype.
EC02Thereisnoconversiondatesupplied.
EC03Aconversionratetypeoranaccountedamountmustbesuppliedwhenenteringforeigncurrencyjournallines.
EC04Thereisnoconversionrateenteredforthisconversiondate.
EC05Thereisnoconversionrateenteredforthisconversionratetype.
EC06Therearenoconversionratesforthiscurrency.
EC08Invalidcurrencycode.
EC09Nocurrenciesareenabled.
EC10Encumbrancejournalscannotbecreatedinaforeigncurrency.
EC11Invalidconversionratetype.
EC12TheenteredamountmustequaltheaccountedamountinafunctionalorSTATcurrencyjournalline.
EC13Theenteredamountmultipliedbytheconversionratemustequaltheaccountedamount.
ECW1Warning:Convertedamountscouldnotbevalidatedbecausetheconversionratetypeisnotspecified.
BudgetErrorCodes
EB01Abudgetversionisrequiredforbudgetlines.
EB02Journalscannotbecreatedforafrozenbudget.
EB03Thebudgetyearisnotopen.
EB04Thisbudgetdoesnotexistforthissetofbooks.
EB05Theencumbrance_type_idcolumnmustbenullforbudgetjournals.
EB06Aperiodnameisrequiredforbudgetjournals.
EB07Thisperiodnameisnotvalid.Checkcalendarforvalidperiods.
EB08Averagejournalscannotbecreatedforbudgets.
EncumbranceErrorCodes
EE01Anencumbrancetypeisrequiredforencumbrancelines.
EE02Invalidordisabledencumbrancetype.
EE03EncumbrancejournalscannotbecreatedintheSTATcurrency.
EE04Thebudget_version_idcolumnmustbenullforencumbrancelines.
EE05Averagejournalscannotbecreatedforencumbrances.
ReversalErrorCodes
ER01Areversalperiodnamemustbeprovided.
ER02Thisreversalperiodnameisinvalid.Checkyourcalendarforvalidperiods.
ER03Areversaldatemustbeprovided
ER04Thisreversaldateisnotinavalidperiod.
ER05Thisreversaldateisnotinyourdatabasedateformat.
ER06Yourreversaldatemustbethesameasorafteryoureffectivedate.
ER07Thisreversaldateisnotabusinessday.

ER07Thisreversaldateisnotabusinessday.
ER08Therearenobusinessdaysinyourreversalperiod.
DescriptiveFlexfieldErrorCodes
ED01ThecontextandattributevaluesdonotformavaliddescriptiveflexfieldforJournalsJournalEntryLines.
ED02ThecontextandattributevaluesdonotformavaliddescriptiveflexfieldforJournalsCapturedInformation.
ED03ThecontextandattributevaluesdonotformavaliddescriptiveflexfieldforValueAddedTax.
MiscellaneousErrorCodes
EM01Invalidjournalentrycategory.
EM02Therearenojournalentrycategoriesdefined.
EM03Invalidsetofbooksid.
EM04Thevalueintheactual_flagmustbe"A"(actuals),"B"(budgets),or"E"(encumbrances).
EM05Theencumbrance_type_idcolumnmustbenullforactualjournals.
EM06Thebudget_version_idcolumnmustbenullforactualjournals.
EM07Astatisticalamountbelongsintheentered_dr(cr)columnwhenenteringaSTATcurrencyjournalline.
EM09ThereisnoTransactionCodedefined.
EM10InvalidTransactionCode.
EM12AnOracleerroroccurredwhengeneratingsequentialnumbering.
EM13Theassignedsequenceisinactive.
EM14Thereisasequentialnumberingsetuperrorresultingfromamissinggrantorsynonym.
EM17Sequentialnumberingisalwaysusedandthereisnoassignmentforthissetofbooksandjournalentrycategory.
EM18ManualdocumentsequencescannotbeusedwithJournalImport.
EM19ValueAddedTaxdataisonlyvalidinconjunctionwithactualjournals.
EM21BudgetaryControlmustbeenabledtoimportthisbatch.
EM22Aconversionratemustbedefinedforthisaccountingdate,yourdefaultconversionratetype,andyourdual
currency.
EM23ThereisnovalueenteredfortheDualCurrencyDefaultRateTypeprofileoption.
EM24Averagejournalscanonlybeimportedintoconsolidationsetsofbooks.
EM25Invalidaveragejournalflag.Validvaluesare"Y","N",andnull.

Se ction5:Trouble shootingScripts
FollowingaresomeusefulscriptstotroubleshootJournalImporterrors.
EstimatethenumberoflinespendingtoimportfromGL_INTERFACE:
q_ji1.sql:
/*Listsallpendingjournalimportgroupsandthenumber*/

/*ofrecordsineachgroup*/

setlinesize120

colCurrencyformata8

spoolq_ji1

Selectset_of_books_idBook

,user_je_source_nameSource

,user_je_category_nameCategory

,currency_codeCurrency

,trunc(date_created)Created

,actual_flagJournal

,count(*)

fromgl_interface

groupbyset_of_books_id

,user_je_source_name

,user_je_category_name

,currency_code

,trunc(date_created)

,actual_flag

orderbyset_of_books_id,trunc(date_created)

spooloff

TotalthedebitandcreditamountswithinaGroup_ID:
q_ji2.sql:
/*Calculatesthetotalamountsforagivengroupid*/

setlinesize120

cols_en_crformatS999,999,999.99
cols_en_drformatS999,999,999.99

cols_acc_crformatS999,999,999.99
cols_acc_drformatS999,999,999.99

spoolq_ji3

Selectuser_je_source_nameSource
,User_je_category_nameCategory

,currency_codeCurrency

,sum(entered_cr)s_en_cr
,sum(entered_dr)s_en_dr

,sum(accounted_cr)s_acc_cr
,sum(accounted_dr)s_acc_dr

,sum(accounted_dr)s_acc_dr

fromgl_interface

wheregroup_id=&group_id

groupbyuser_je_source_name

,User_je_category_name

,currency_code

spooloff

Thefollowingquerygroupsjournallinesforaparticulargroup_idcomingfromOraclePayablesbyCategoryandInternal
InvoiceId,andsumsthedebitandcreditamounts(in11i):
q_ji3.sql:
setlinesize120

cols_en_crformatS999,999,999.99
cols_en_drformatS999,999,999.99

cols_acc_crformatS999,999,999.99
cols_acc_drformatS999,999,999.99

colreference22formata15

spoolq_ji4

SelectUSER_JE_CATEGORY_NAMEcategory

,reference22invoice_id

,sum(entered_cr)s_en_cr
,sum(entered_dr)s_en_dr

,sum(accounted_cr)s_acc_cr
,sum(accounted_dr)s_acc_dr

,count(*)

fromgl_interface

whereuser_jr_source_name='Payables'and

group_id=&group_id

groupbyUSER_JE_CATEGORY_NAME,reference22

spooloff

Queryq_ji3.sqlcanbemodifiedtobeusedwiththereferencefieldsforothersources.

KnownIssue s
Foralistingofpublishednotes,refertoMyOracleSupport.
Usefulinformationisalsoprovidedinthedocumentsinthereferencessectionbelow.

SUMMARY

CommunityDiscussions
Stillhavequestions?UsetheliveMyOracleSupportGeneralLedgerCommunitywindowbelow,tosearchforsimilardiscussions
orstartanewdiscussiononthissubject.

AllPlaces >MyOracleSupportCom m unity>OracleEBus ines s Suite(MOSC)>GeneralLedgerEBS(MOSC)

GeneralLedgerEBS(MOSC)
Overview

Content

SPACESYOUFOLLOW

Spaces
EBusinessTax(MOSC)

People

Subspaces

ASKGENERALLEDGEREBS(MOSC)
Typeyourquestion
ASKIT

FinancialsforIndiaEBS
(MOSC)

NEWS&ANNOUNCEMENTS
FixedAssetsandProperty

FixedAssetsandProperty
ManagerEBS(MOSC)
GeneralLedgerEBS
(MOSC)
PayablesEBS(MOSC)

FindSpace

Highlyrecommended:
RecommendedPatchCollections(RPCs)consolidatethemostrelevantfixes
thatwillhelpyoutoavoidknownissueswhichcausedatacorruptionandmay
impactPeriodClosing,Accountingandotherfeatures.Westronglyrecommend
thatyouapplythelatestRPC,GeneralLedgerRecommendedPatchCollection
(GLRPC),February2015(DocId1982728.1)andOracleEBusinessSuite
Release12.1.3+RecommendedPatchCollection3(RPC3)(DocId1986065.1

Fe e dback
Toprovidefeedbackonthisnote,clickontheRatethisdocumentlink.

REFERENCES
NOTE:342391.1GeneralLedgerFAQfor11iJournalImport
NOTE:434226.1ImpactofR12SubledgerAccounting(SLA)onGeneralLedger(DrilldownandJournalImport)
NOTE:876190.1R12:FAQonTransfertoGLinR12
NOTE:330821.111i:GeneralLedgerJournalImportTroubleshootingGuide
Didn'tfindwhatyouarelookingfor?

AskinCommunity...

Attachments
GENERALLEDGERJOURNALIMPORTPROCESS (152.2KB)

Related
Products
OracleEBusinessSuite>FinancialManagement>FinancialControlandReporting>OracleGeneralLedger>JournalImport>JournalImport

Keywords
DELETEJOURNALIMPORTDATA GENERALLEDGERTRANSFER GLLEZL GLLEZLSRS GLXJICOR.FMB GLXJIDEL.FMB GLXJIRUN.FMB GLXSTCPC.FMB GL_IMPORT_REFERENCES
GL_INTERFACE GL_INTERFACE_CONTROL GL_INTERFACE_HISTORY IMPORT JOURNALS REFERENCESFIELDS SUBLEDGER SUBLEDGERACCOUNTING TRANSFER TRANSFERTOGL
XLA

Errors
EM17

Translations
English Source

Chinese

BacktoTop

Copy right(c)2016,Oracle.A llrightsreserv ed.

LegalNoticesandTermsofUse

Priv acy Statement

You might also like