You are not required by the program to close periods, however, there are many month-end activities that can be performed if you wish to do so. The following is a list of those procedures, which may or may not be necessary for your company.
General Ledger
- Specify system-wide and user-specific Posting Date ranges. Depending on your business needs, you may want to restrict user posting date ranges at the start of the period-end process. 
Sales & Receivables
- All Sales Orders, Invoices, Credit Memos, and Return Orders are posted 
- All Cash Receipt Journals have been posted 
- Update and Post Recurring Journals related to Sales & Receivables 
- Reconcile Accounts Receivable to the general ledger 
- Run the Delete Invoiced Sales Orders batch job 
Purchases & Payables
- All Purchase Orders, Invoices, Credit Memos, and Return Orders are posted 
- All Payment Journals have been posted 
- Update and Post Recurring Journals related to Purchases & Payables 
- Run the Aged Accounts Payable report and reconcile A/P to the general ledger 
- Run the Delete Invoiced Purchase Orders batch job 
Fixed Assets
- All Maintenance costs have been posted through the FA Journals or Invoices 
- Post Adjustments 
- Post Appreciation 
- Post Depreciation 
- Update and Post Recurring Fixed Asset Journal 
Intercompany
- Process Intercompany Postings 
Tax and Intrastat
Tasks to be Performed Sequentially
The following processes, which affect Manufacturing, Inventory, and General Ledger, should be performed sequentially.
Manufacturing
- All Consumption and Output has been posted 
- All completed Production Orders have been changed to a status of Finished 
Inventory
- Make all necessary inventory adjustments using the item journal 
- Run the Adjust Cost - Item Entries batch job 
- Run the Post Inventory Cost to G/L batch job 
- Run the Inventory Valuation report and reconcile Inventory and COGS to the general ledger 
- Reconcile WIP to the general ledger 
General Ledger
- Make all necessary G/L adjustments 
- Update and post Recurring Journals 
- Run Account Schedules: - 
                    Open the Account Schedule window, and click Print.
- 
                    Fill in the Account Schedule request page and click Print.
 
- 
                    Open the Account Schedule window, and click Print.
- Specify system-wide and user-specific Posting Date ranges. 
|  Tip | 
|---|
| For more information about how to work with fields and columns, see Work with Data. For more information about how to find specific pages, see Search. | 





