Asset Addition Report Cannot Reconcile To GL Account Balance
(Doc ID 1436868.1)
Last updated on MAY 08, 2023
Applies to:
Oracle Assets - Version 12.1.3 and laterOracle Fusion Assets Cloud Service - Version 11.1.11.1.0 to 11.1.11.1.0 [Release 1.0]
Information in this document applies to any platform.
Goal
Cannot reconcile Asset Addition Report to gl account balance by cost center.
Solution
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In this Document
Goal |
Solution |