Fusion CST: Costing Of Inventory Transactions Interfaced From A Custom Application

(Doc ID 2110168.1)

Last updated on SEPTEMBER 11, 2017

Applies to:

Oracle Fusion Cost Management - Version and later
Information in this document applies to any platform.


We have inventory transactions which are being interfaced from a custom application. The transactions are like :

XX-Cycle Count Issue / XX-Cycle Count Receipt

XX-Sales Issue / XX-Sales Picking

XX-Projects Issue / XX-Project Receipt

For each of these transactions, how to create costing journal entry?


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