Tuesday, August 16, 2016






Oracle GL based reporting an reconciliation tool

When it comes to period end processing, EBS users faces lack of handy tools and tons of tedious repetetive work.

  • Scattered information in standard reports
  • FSG is awesome idea but techically more tan 20 years old with ugly drill and export realisation.
  • GL to subledger drilling realisation is ugly...
  • Your name it :)

 Builded for

  • Instant acess to GL balances

  • Build FSG alike reportst online

  • Drill to GL journals and subledger details

  • When drill into detais of selected GL balance or accounting flexfield range.

    • You get all entries comprises GL balance/accounting flexfield range, which is subledger entries or in case of direct manual or uploaded GL journals - jounal lines.
    • Subledger enries have a lot of useful for reconciliation process details.
      • Source module - AP, AR, FA, etc.
      • Parties/Sites - Supplier, Customer.
      • Subledger classification - event types.
      • Descriptions, etc.
      • In a future releases more details will be added - PO's, Inventory Items, Projects-Tasks, Assets...
    • From subledger entries you can go directly to respective GL journals with all details.
  • Export to Ecxel

    • Everything Excel exportable in one click.
  • And more...


  • It is JavaEE application can be placed close to the database even withing EBS itself and retrieve data fast.
    When drill-down to big underlying data it naturally provides lazy loading by getting just data that can be displayed.
    No "smart" cashing server solutions needed.

    See how it works. Set captions on (CC) to see detailed descriptions.

Try it HERE

Then try it on you mobile device :)