To create a new intercompany journal in the source companyCompany that initiates an intercompany transaction.:
When you are ready, you must post the intercompany journal in the source company. See Posting Journals for more information.
In addition to posting the normal transaction, this creates the appropriate intercompany transferObject used as a staging location for data used when transferring costs to other companies in the same organization. record in the destination company.
Related Concepts
About Intercompany Payments and Cash Entries
Using Intercompany Accounts Payable
Using Intercompany Accounts Receivable
What is an Intercompany Transfer?
Related Tasks
Canceling and Reversing Intercompany Journals
Creating and Posting an Intercompany Billing Document
Rejecting an Intercompany Transfer
Processing Intercompany Transfers
Processing Intercompany Transfers Automatically
Reference