Last updated on SEPTEMBER 06, 2016
Applies to:PeopleSoft Enterprise FIN Asset Management - Version 9.1 to 9.2 [Release 9]
Information in this document applies to any platform.
When interface rows get consolidated, AMIF1000 creates assets with a null value on the Placement date of the ASSET table.
Expecting to see the in-service date on Basic Add, General Information, Placement date.
The issue can be reproduced at will with the following steps:
1. Create a PO with 2 lines.
2. Dispatch it.
3. Create a PO Receipt. Run PO_RECVPUSH.
4. Run AMPS1000.
6. Run AMIF1000.
7. Go to Basic Add, General Information page, Placement date.
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