Why is the CIP Detail Report GL Code Combination Not Correct for an Asset?
Last updated on NOVEMBER 03, 2016
Applies to:Oracle Assets - Version 22.214.171.124 and later
Information in this document applies to any platform.
Why does an asset shows GL code combination 01-871-XXXX-000 (Location = 871) on the CIP Detail Report, when the balance in GL and FA_ADJUSTMENTS is in account 01-000-XXXX-000 (Location = 000)?
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