What is the logic of journal entry naming convention in subledger accounting?
Summary:
In Fixed Assets Module when any transaction is accounted a journal entry batch name and journal entry name is generated by the system. What is the logic behind that? Any setup that governs this?
Content (required):
Any sort of meta link doc that explains how the Journal entry name is generated.
Version (include the version you are using, if applicable):
Code Snippet (add any code snippets that support your topic, if applicable):
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