In this Acumatica Intercompany Accounting Datasheet, you will learn how Acumatica can help track financials and create reports for an unlimited number of related companies within your organization. Related companies with the same charts of accounts, financial periods, and currencies benefit from real-time consolidation reports. Intercompany transactions are automatically calculated between related companies for both financial and inventory-related transactions. This allows you to seamlessly manage centralized bill payment, shared customers, intercompany journal transactions, intercompany goods transfers, and more.
Share customers and vendors across business entities and automate financial transactions
between companies for buy-sell transactions. Maintain individual ledgers for each company. You can eliminate intercompany transactions automatically when reporting across multiple companies.
Key features in Currency Management Datasheet: