YonSuite Expense Accrual and Reversal: Prevent Duplicates and Omissions
Control accruals by source, period, owner and reversal identifier to reduce duplicates, missed reversals and double booking.
Learning objective
Build a complete control from accrual request and approval through posting, reversal and matching to actual expense.
Roles
Finance leads, cost accountants, process owners, IT, key users, consultants and internal audit
Prerequisites
- Confirm organisations, periods, currencies, masters and access ownership.
- Prepare approved representative normal, exception and reversal data.
- Define cut-off, interface boundaries, approvals and change rules.
Completion checks
- Results trace in both directions to source document and accountable role.
- Quantity, amount, period and status agree across business and finance views.
- Open items retain cause, amount, owner, action and closure evidence.
Common errors
- Masking source-data errors with ledger adjustments.
- Failing to freeze version and period, making results irreproducible.
- Testing only normal flow while ignoring reversals, late and cross-period activity.
Thailand project note
Thai implementations should confirm Thai/English masters, THB and foreign currencies, Asia/Bangkok time, segregation of duties, approval evidence and local document retention. This tutorial covers ERP data, process and controls only; VAT, WHT, BOI, customs and statutory-accounting conclusions require current review by qualified Thai professionals.
Related modules
Steps
- 01
Define eligible expense types, evidence, estimation method and responsible department.
- 02
Give every accrual a unique business identifier linked to contract, order, receipt or service period.
- 03
Record currency, business period, expected actual-document date, cost centre and project.
- 04
Business confirms service occurrence; finance reviews estimate basis and duplicate risk before posting.
- 05
Configure and test next-period reversal, routing failures to an exception list.
- 06
When actual expense arrives, match accrual and reversal by unique identifier and analyse estimate difference.
- 07
At month end, review aged accruals and update, close or escalate; never roll forward by copying old values.
Implementation notes
- Pilot in one representative organisation and period before scaling.
- Retain source, owner, approval and closure evidence for every difference.
- Menus, fields, licences and automation depend on the current release and approved blueprint.
References
- 标准成本、实际成本与项目成本核算体系 ↗用友 U9 cloud · Accessed: 2026-08-21 · Applicable version: 官方公开能力范围;具体菜单、许可和字段以客户当前版本与批准蓝图为准
- U9 cloud 成本管理数智化 ↗用友 U9 cloud · Accessed: 2026-08-21 · Applicable version: 用于核对多成本体系、成本要素、成本计算与分析能力
- U9 cloud 全球产品介绍 ↗用友 · Accessed: 2026-08-21 · Applicable version: 用于核对精细核算、项目控制与分析的官方能力范围
- YonSuite 客户成功服务 ↗用友 · Accessed: 2026-08-21 · Applicable version: 用于核对业财对账与历史凭证迁移服务范围