Segregation of Clearing Accounts by Asset Category
in Assets
Summary:
We have certain asset categories that should go to CWIP, and others that should go to normal Asset Clearing.
However, the mapping set only allows the following input sources:
- Inventory Organization
- Item
- Item Category
Question:
What is the best way to derive different clearing accounts based on Asset Category?
Should we:
- Create dedicated Item Categories aligned with Asset Categories, or
- Use SLA Account Rules with conditions (DFFs, category mappings, etc.)?
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