Reconciling financial data is a control and audit requirement for all organizations as part of regular financial processing, and is especially critical and time consuming at period end. Oracle’s PeopleSoft Financials provides a means for you to systematically assign, track, and actually reconcile in real time the sub ledger activity to the general ledger. This session provides an overview of the reconciliation capabilities across all of PeopleSoft, including projects, contracts, billing, and procure to pay. You will hear an overview of PeopleSoft’s robust and expanded bank reconciliation solution. The session also covers the roadmap for reconciliation initiatives planned for upcoming PeopleSoft Update Images.
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Copyright © 2026 Higher Education User Group, Inc.