Intercompany
Automate your intercompany and intracompany recharges
Set up: Mapping Intercompany Accounts
Easily manage intercompany relationships in your Translucent account by mapping loan accounts and supplier pairings between entities. This tutorial sh...
Set Up: Group Bank Reconciliation
Follow the steps to install and start matching cross group bank transactions. Once installed use the Group Bank Reconciliation plugin to easily match...
Navigating your Intercompany Matrix
The Intercompany Matrix helps you quickly review balances and discrepancies across your group’s loan accounts and suppliers. With intuitive navigation...
Reconciling Intercompany Transactions
Reconcile intercompany transactions effortlessly in Translucent, making it easy to manage balances between entities. Step 1: Open the Reconciliatio...
Creating Intercompany Recharges
Streamline invoice or journal posting across the group using Recharges. You can easily redistribute costs across the business by creating the journal ...
