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Eliminations
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Eliminations are comprised of due to and due from accounts that make up an intercompany transaction. Elimination Sets are processed individually or together as part of the Elimination Process. The Elimination Process calculates and posts active Elimination Entries at Eliminating Companies within your legal entity hierarchy to ensure the proper aggregation of financial information at consolidated reporting levels. For example, a transaction that involves the sale of an item manufactured by a subsidiary to another subsidiary should be eliminated when reporting consolidated results.
When Eliminations are processed, all active Elimination Entries are posted to the Elimination company. Elimination companies are defined during the creation of the Segment Hierarchy. During this process, you have the option of defining companies as Elimination Companies. These companies will determine points within the hierarchy where Elimination Entries should be recorded. Consider the example of a regional hierarchy where you have an Americas division, EMEA division, and APAC division that all rollup to a Corporate company member. If there are intercompany transactions between two American companies, they will be eliminated at the Americas Elimination company. If there are intercompany transactions that occur between an EMEA and an American company, then those intercompany transactions will not be eliminated until the Corporate Elimination.
When there are multiple Elimination companies with a hierarchy, the system decides which Elimination company to use based on the Intercompany Segment and the Company.
You can opt to post Eliminations during the Consolidation Process. See the topic called How to Post Eliminations During the Consolidation Process.
Set up Elimination Company
Create an Elimination company in your chart of accounts as you would any other company.
- Navigate to the Maintenance > Hierarchy > Hierarchy Management.
- Move the new Elimination company to the same level as the companies that you want to eliminate.
- Once the Elimination company is in its correct location within the hierarchy, set it as an Elimination company by changing the Elimination selection from “No” to “Yes”.
- Click OK and then Save.
Export as Excel
Click Export as Excel to export the report.
Click Print to print the report.
Apply Filter
Click Apply Filter to filter out selections based on certain criteria.
Add an Elimination
- Navigate to the Consolidation Control Panel, and click Eliminations under Processes.
- Click Add.
- The Add Elimination dialog appears with the Properties tab selected.
- On the Properties tab, complete the following fields:
- Enter a code of your choice in the Code field.
- Enter a name in the Name field.
- Select the Out of Balance Account to store the differences resulting from intercompany transactions. It is a way to keep a balance sheet in balance.Note:The Out of Balance Account cannot be the same as the Elimination Accounts.
- Select the Retain Source Segments checkbox to define the default values that will be applied to out of balance account entries only. That means that Elimination data will be posted to the Elimination Company with other segment members of the inter company transaction. The Elimination Entries that are created by selecting this option will be unique across all other segment member combinations. This is relevant only to segments other than the company and the intercompany dimension. If you don't select this checkbox, the Elimination data will populate the Elimination Company with other segment members selected in the Elimination setup.
- Click the Elimination Accounts tab, or click Next to navigate to the Elimination Accounts tab, and then set up an Elimination account by following the steps given below:
- In the Account box, locate the account, then select the checkbox for the account you want to add to the Elimination list. Selecting accounts displays them in the Elimination Accounts grid.
- For each added account, select the value from the Due To /From drop-down list. The available values for selection are Due To, Due From, and Not Included. By default, the selected value in the Due To/From drop-down list is Not Included. Select Due To or Due From to generate a variance report.
- Enter a number for Maximum Variance Thresholds. Variance thresholds represent the variation bands; and coloring schemes for displaying current variances.
- Click Save. The Elimination Entry is added.
Copy an Elimination
In the Consolidation Control Panel, under Processes, click Eliminations. The Eliminations grid appears.
Select the Elimination you want to copy.
Click Copy. The Copy Elimination dialog appears with the Properties tab selected.
Enter Code and Name. You can modify the values for other fields using the Browse icon.
Select the Elimination Accounts tab and make necessary changes, if any.
Click Save.
Edit an Elimination
In the Consolidation Control Panel, under Processes, click Eliminations. The Eliminations grid appears.
Select an Elimination.
Click Edit. The Edit Elimination dialog appears with the Properties tab selected.
Edit as needed.
Click Save.
Delete an Elimination
You may want to delete unused or inactive eliminations. When you delete an elimination, all the associated Elimination Accounts are also removed from the Elimination.
In the Consolidation Control Panel, under Processes, click Eliminations. The Eliminations grid appears.
Select the Elimination.
Click Delete.
In the confirmation dialog that appears, click OK. The Elimination is deleted.
Entry Actions
Make an Elimination Inactive
Navigate to the Consolidation Control Panel.
Select the Eliminations Process.
In the center pane, all Eliminations are displayed. Select the Elimination you want to make inactive.
Click Inactive from Entry Actions.
When you make an Elimination inactive, the only action available will be “Active”. This is because you can’t perform other actions (such as post or clear data) on an inactive Elimination.
Make an Elimination Set Active
Navigate to the Consolidation Control Panel.
Select the Eliminations Process.
In the center pane, all Eliminations are displayed. Select the inactive Elimination set you want to make active.
Click Active from the Entry Actions.
Post an Elimination
You can post Eliminations that are active.
In the Consolidation Control Panel, under Processes, click Eliminations. The Eliminations grid appears.
Select the Elimination, under Entry Actions, and click Post. The Elimination Process dialog appears.
The Scenario is a read-only field and indicates that the associated scenario is used when posting an Elimination.
Select the fiscal Year by using the calendar icon
Select the Period by selecting a month range. You can only post for successive months.
Select the Email notification checkbox if you want to send a notification about results when the process is complete, and then enter the email addresses of the recipients you wish to notify.
Click Post. The Elimination Process dialog is exited. A message appears indicating that the Elimination is submitted for posting based on the selected periods and includes a link to navigate to the Detail View for status.
You can opt to post Eliminations during the Consolidation Process. See the topic called How to Post Eliminations During the Consolidation Process.
Post Multiple Elimination Sets
Navigate to the Consolidation Control Panel.
Select the Eliminations Process.
In the center pane, all Eliminations are displayed. Select the checkbox to the left of the Code as shown below. Notice that only the Active Eliminations are selected to post
Click Post.
Posting an Elimination Across Multiple Hierarchies
Organizations may need different Eliminations set up in the main consolidation hierarchy and alternative reporting hierarchies.
To address this need, the Planful application allows the setup for the Eliminations differently for each 'legal entity' segment hierarchy (main and alternate). When you run the Elimination Process, based upon where the Elimination companies are placed in the respective hierarchies, the application will eliminate properly and populate the data against the Elimination companies in each hierarchy.
In Practice
Following is an example of a fictitious company named ABC Inc The Main and Alternate Hierarchy views are shown below for ABC Inc.
Under the Main Hierarchy, there is 'Elim 1&2' (Elimination company) to hold intercompany Eliminations across companies 1&2. Similarly, Elim_corp is there to eliminate the intercompany transactions across companies 1&2 with either companies 3&4 or between companies 3&4.
Under the Alternate Hierarchy view called Division Alternate Hierarchy, you have different Elimination Entries under each division view for companies. In order to support this division level Elimination in the alternate hierarchy, we have 3 different Elimination Entities. These members are to be created in the main hierarchy as leaf level members and are mapped over to the alternate division hierarchy as Elimination Entities.
Recommended Order To Process Eliminations and Consolidation
Run Consolidations first - to consolidate all GL Companies
Run Eliminations - to eliminate all inter-company transactions
Run the Consolidation Process again - to consolidate the Elimination companies
Clear Elimination Data
You can clear data in the previously posted Eliminations.
In the Consolidation Control Panel, under Processes, click Eliminations. The Eliminations grid appears.
Select the Elimination, under Entry Actions, and click Clear Data. The Clear Elimination Data dialog appears.
The Scenario is a read-only field and indicates that the associated scenario is used when posting an Elimination.
Select the fiscal Year by using the calendar icon
Select the Period by selecting a month range.
Select the Email notification checkbox if you want to send a notification about results when the process is complete, and then enter the email addresses of the recipients you wish to notify.
Click Clear Data. The Clear Elimination Data dialog is exited. A message appears indicating that the Elimination is submitted for clearing of data based on the selected periods and includes a link to navigate to the Detail View for status.