Accounts Payable Balances Explained
Period-end close is stressful enough. Explaining your Accounts Payable balances should not make it harder.
AP balances are rarely simple. System postings, manual journals, and spreadsheet adjustments often sit in the same GL accounts, making it difficult to explain what changed and why. In this webinar, see how GL Connect brings Oracle EBS Accounts Payable data directly into Excel with real-time balances, transaction-level drilldown, and clearer visibility into balance movements.
Uncover the Story Behind Your Data
Real-Time Access
Access real-time Oracle EBS AP data directly in Excel, eliminating stale data sets.
Deep Drilldown
Drill down seamlessly from high-level AP balances directly to transaction details.
Identify Drivers
Instantly identify exactly what is driving your balance movements month over month.
Reduce Manual Work
Drastically reduce the need for offline data extracts and manual spreadsheet reconciliation.
Faster Close
Support a faster period-end close, smoother audits, and more confident finance reviews.
Built for Oracle EBS Finance Teams
Accounts Payable
Teams responsible for tracking, explaining, and reporting on Accounts Payable balances.
Period-End Close
Professionals tasked with ensuring a smooth, accurate, and timely month-end close cycle.
Audit Support
Staff who need to provide clear, defensible data and drilldowns to internal and external auditors.
GL & Subledger
Analysts working to reconcile General Ledger accounts with subledger data effortlessly.
Financial Reporting
Leaders looking to enhance the overall accuracy and transparency of their financial statements.
Julian Sweet
Finance Solutions Manager, SplashBI
Saefddin Allan
Pre-Sales Consultant, SplashBI