After you set up expense reimbursements for the fund, you can process the reimbursements using the Run Expense Reimbursement Process panel in the Global Process workspace.WRITERS NOTE: are we also processing recoupments for expense reimbursements, if applicable?
To run the expense reimbursement process:
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The following are the options in the Run Expense Reimbursement Process panel.
Option | Tag | Description |
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Trigger Reimbursement Process | ||
Select Query Option | 2283 | Specifies your query parameters. Options include:
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Entity ID | 1163 | Specifies the entity identifier. This field appears when you select One Entity. |
Entity Name | 1164 | Specifies entity name. This field appears when you select One Entity. |
Accounting Basis | 21 | Specifies the accounting basis. This field appears when you select One Entity. |
Effective Date | 35 | Specifies the effective date. |
Accounting Date | 36 | Specifies the accounting date. This field appears when you select One Entity. |
Conversion Value | 3914 | Specifies the entity's conversion status. This field appears when you select All Entities. |
NAV Component | 3256 | Specifies the NAV components. Options include:
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Process Center | 4896 | Specifies the process center. This field appears when you select All Entities. |
Exchange Rate Source | 514 | Specifies a valid exchange rate source. This field appears when you select All Entities. |
Partition Number | 95 | Specifies the physical partition. This field appears when you select All Entities. |
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