Asset config is different b/t non-prod & prod
Summary
Compare configs between environments, Fusion AssetsContent
Fixed asset config in TEST is different than PROD. Production to TEST copy was done 10.15.19 yet TEST environment is performing as expected while production is not. Specifically for the fixed asset clearing account 29050. When an adjustment to an existing asset is made, we expect that the cost clearing account would be 29050 (shown in TEST) rather than 29000 (shown in PROD). We have extensively reviewed the "Manage Accounting Methods" and see no difference in configurations and GL Overrides.
I am looking for best practices and other reporting options for outputs on asset module configuration details. Would like to be able to compare between non-prod and prod environments. Is there an Fixed Assets Analyzer similar to what is found in EBS, available for Fusion Assets?