Financial Management Compliance Console Revenue Management application gives users easy access to view essential financial metrics including days sales outstanding data Bank Statement Reconciliation –View bank statement details of the bank statement and reconcile them to account ledger entries, keep track of un-reconciled amounts and number of records to be reconciled Expense Entry application is 
used to create, add, change, review, and submit expense reports while the Auditors Workbench can be used to check and review report status Trial Balance with Ledger Comparison - Review a trial balance for any set of accounts, compare  balances with an alternate ledger such as a budget ledger Customer Ledger Inquiry is used to work with your invoices, credit memos, deductions, chargebacks, and other documents associated with the Customer Ledger where you can add, change, and review documents, review the Customer Master, and link to the Receipts application