ADR - Event Class - Additions, Journal Line Type - Asset Cost Clearing Account
Hi,
I am trying to modify the SLA in Fixed Assets module. I am trying to create ADR on Additions Event Class. Asset Cost Clearing Journal Type. I want to know what do these conditions in the same seeded ADR mean "Payables Code Combination ID is NOT NULL" Or "Generated Code Combination ID" is NULL.
Any help will be highly appreciated. Thanks,
Arun