R12 11i Which Projects Report to use to Reconcile the CIP Clearing Account at Month End ( PA-FA )? (Doc ID 281993.1)

Last updated on DECEMBER 21, 2015

Applies to:

Oracle Project Costing - Version 11.5.10.2 to 12.1.3 [Release 11.5.10 to 12.1]
Information in this document applies to any platform.

Goal

Which reports do we use to reconcile the CIP clearing account at month end ( PA-FA ) ?

Solution

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