Set Document Splitting Page

Use this page to split line items in long financial transactions.

To access this page:

  1. In Data Workbench, display the Data page.
  2. Select Set Document Splitting in the page toolbar.

In this topic:

Edit Split Options Dialog

Use this feature to split line items in financial transactions such as a journal entries (FB50) when uploading more than 999 line items. The page lists all the transaction codes that have been configured to split the line items into separate documents.

 

Icon Description
New New  Click this to configure a new transaction code for line item splitting.
Edit Edit Click this to Edit the line item split configuration for the selected transaction code.
Delete Delete Deletes the line item splitting configuration for the selected transaction code.

Edit Split Options Dialog

Field Description
Transaction Code The transaction code for which you want to enable the split configuration.
Split at Line Item The number of line items that you want to split the documents into.
Enabled Check to apply the split configuration to uploads with the applicable transaction code.
Clearing Account Number When the document is split, each document must be balanced, typically with a clearing account. Enter the clearing account number to use to balance the document during the split.
Amount Field Name The field in the transaction that represents the amount field.
G/L Account Field Name The field in the transaction that represents the G/L account.
Append Split Information

Check to append a sequential number to the end of a reference field.

Reference Field Name

The field where the split information (sequential number) will be appended.

Debit/Credit Field Name

The field name in the transaction that represent the Debit/Credit indicator.

Debit Indicator

The value that represents debit.  Usually S.

Credit Indicator

The value that represents credit.  Usually H.