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To generate asset line in capital project for CIP accounts linked from AP

Summary:

I want to create a batch of CIP accounts generated by AP in fixed assets, allocate the created assets as assets on the project asset side, and cost the depreciation.

Content (please ensure you mask any confidential information):

I would like to add fixed assets from CIP invoices created on AP to asset, then allocate the added assets as assets in the capital project and generate the depreciation cost as asset details.

Colud you tell me know if it is possible to do this operation from the batch creation in asset to the posting in the project side.(Best Practices, etc.)

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