How could a journal descriptive flexfield be dynamically updated based on Account Combination
in Assets
Summary:
We would like to assign values to a (DFF) on the journal entry for asset creations. When the journal entry is accounted we would like a value to group the entries without writing hardcoding this into BI reporting. Looking for a DFF that would be available in OTBI as well.
I've reviewed documentation but I'm not finding anything for this specific scenario. Any suggestions would be appreciated.
Content (please ensure you mask any3 confidential information):
An example: If accounting combination is seg1.seg2.seg3 = 1111.2222.33333333, then DFF returns the value 'Custom Value'. Different combinations would return unique values.
Version (include the version you are using, if applicable):
0