Use Of Custom Transaction Type Identification With Transaction Data Upload ReST API
(Doc ID 2961249.1)
Last updated on JULY 14, 2023
Applies to:
Oracle Retail Merchandising Foundation Cloud Service - Version 23.1 and laterInformation in this document applies to any platform.
Goal
The customer has specific transactions that they need to apply to items in locations, that should affect WAC, and are not tracked by any MOM process and that needs to have a specific accounting mapping.
One example would be to make sure that the matching of invoices from a different currency from the location currency, how would we be able to capture this exchange rate differences that need to be applied in a liability account.
The problem is the hability to submit stock ledger transactions (that may or may not affect WAC) that are not related with existing MOM transactions (like my example of exchange rate divergences).
Having customizable Tran Codes would allow for clear GL cross reference mappings to leverage the stock ledger functionalities.
Solution
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In this Document
Goal |
Solution |
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