Fusion CST: How To Define Cycle Count Adjustment Account By Cycle Count Name
Last updated on MAY 27, 2017
Applies to:Oracle Fusion Cost Management Cloud Service - Version 220.127.116.11.0 and later
Oracle Fusion Cost Management - Version 18.104.22.168.0 and later
Oracle Fusion Inventory Management - Version 22.214.171.124.0 and later
Oracle Fusion Inventory Management Cloud Service - Version 126.96.36.199.0 and later
Information in this document applies to any platform.
In EBS the adjustment account was defined when creating the cycle count.
Where is the adjustment account defined in Oracle Fusion Cloud R11 when creating a cycle count?
Currently the client has multiple organizations. Each org will have 2 or more cycle count defined for it. How do they assign an adjustment account to each cycle count within the same org?
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