logic of data populate in FA_BALANCES_REP_GT table
Summary
What is the logic to populate FA_BALANCES_REP_GT table as this is populated by FA_FASCOSTD_XMLP_PKGContent
What is the logic to populate FA_BALANCES_REP_GT table as this is populated by FA_FASCOSTD_XMLP_PKG
We need to create one custom report for Asset cost detail report , and standard report is using FA_BALANCES_REP_GT table which is populated by FA_FASCOSTD_XMLP_PKG package.
please help.
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