How to reconcile OPM inventory with GL in Release 12
We are not able to reconcile OPM invneoty value with General Ledger.
We have taken following reports. There are no manual journals in GL.
All inventory value report
GL Trial Balance
Account Analysis
DSL transactions
I tried to find in metalink but i could not get any document.
Please explain the correct method of reconciliation.
Thanks in advance
Regards
Prashant