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How to generate a check report in Data Management for FCCS

edited Feb 11, 2019 6:59AM in Financial Consolidation and Close 1 comment

Content

Hi,

I want to know the process to generate a check report in Data Management after Export if TB is Balanced.

What are the accounts we have to take for the check report in FCCS and Source?

Please, let me know the steps to achieve this one.

Rgards,

SK

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