Asset Clearing account not in sync with Payable CCID in fa_mass_additions table
Hi,
We are populating data from staging table to fa_mass_additions table. Then standard Post Mass Additions concurrent request is submitted. On accounting Asset Clearing account string is not is sync with that on fa_mass_additions table.
Is there any other table where we need to populate payables_ccid for correct accounting??
Thanks in Advance
We are populating data from staging table to fa_mass_additions table. Then standard Post Mass Additions concurrent request is submitted. On accounting Asset Clearing account string is not is sync with that on fa_mass_additions table.
Is there any other table where we need to populate payables_ccid for correct accounting??
Thanks in Advance
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