Create Mass Additions Is Assigning Source Lines to the Wrong Book
Last updated on NOVEMBER 18, 2016
Applies to:Oracle Fusion Assets - Version 220.127.116.11.0 and later
Oracle Fusion Assets Cloud Service - Version 18.104.22.168.0 and later
Information in this document applies to any platform.
We have two asset books and when we try to add assets using Create Mass Additions process from Payables, the assets that should belong to individual asset books are clubbed into one asset book.
How can one make sure that the lines from Payables are sent to the correct book by Create Mass Additions?
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