Table of Contents
MANAGE BANK STATEMENTS#
The Manage Bank Statements (IPBS) allows you to see create and maintain bank statements within the system.
Data for the 'Manage Bank Statements' screen is maintained on the P2K_PR_PAYROLL_BANK_ACCOUNTS, P2K_PR_BANK_STATEMENTS and P2K_PR_BANK_TRANSACTIONS table.
Status From Date To Date Opening Balance Debits Credits Closing Balance Difference Close Statement Cancel Statement Transaction Date Type Transaction Category Notes Amount
- Due Date
- This field refers to the date that the workflow action will appear to the recipient either on their task list or email, etc.
- Status
- This field defines the status of the workflow action.
- Screen
- The function associated with the action will be listed in this field.
- For Person
- Required Action
- This field identifies the action that is required.