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For clients that have used or are currently using CBS to manage their p-card program, our Controls group requires a reconciliation that proves the monthly accrual we post is correct and accurate. Below is a breakout of how they are doing it, which is resulting in a very large discrepancy. I am trying to determine an alternate way to prove out the accrual because this recon feels off and I cannot place my finger on it...
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@mhong I recommend posting this in the Admin Group to see if someone there has experience with this. This forum tends to be read more by end users and not those who work with Company Billed Statement reconciliation.
This content from the SAP Concur Community was machine translated for your convenience. SAP does not provide any guarantee regarding the correctness or completeness of this machine translated text. View original text custom.banner_survey_translated_text
@mhong I recommend posting this in the Admin Group to see if someone there has experience with this. This forum tends to be read more by end users and not those who work with Company Billed Statement reconciliation.