Hi All,
I am working on a Visual Integrator Job to import GL Journal Entries. Easy right... These imports will be automated and the desire is to auto post. It is possible that the entries could be out of balance. We prefer to post the entry in balance and ""plug"" the difference to a specific account, this way we can quickly audit any OOB journals. Has anyone performed calculations like these using VI and have any guidance? We will have 9 source files, 7 days a week to be posted each morning. Our goal is to avoid any human steps in the process.
TIA!