After you create a set of accounting entries, you can publish them to the general ledger using the Manual Batch Publish process.


The Manual Batch Publish process:

1. Selects accounting lines based on three criteria: process or job instance, process name, and process status.

2. Collects accounting line entries generated by the GL Interface (SFPGLINT) process and publishes them to the PeopleSoft Financials database.


In this topic, you will publish accounting line information.

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