Last updated on JANUARY 03, 2017
Applies to:JD Edwards EnterpriseOne Inventory Management - Version 9.0 and later
Information in this document applies to any platform.
While Reclassifying an Item from one Branch Plant to another using P4116-Reclassification; journal entries created in Table F0911-Account Ledger has both Debit & Credit entries to the same account for each of the Business Units. Is this Working as Designed?
Sign In with your My Oracle Support account
Don't have a My Oracle Support account? Click to get started
My Oracle Support provides customers with access to over a
Million Knowledge Articles and hundreds of Community platforms