Which reports to use for performing oracle inventory Internal Reconciliation
Hi,
For an Average Costing Environment, I would like to know which seeded reports in 11i and R12 to use for the inventory valuation account to perform internal reconciliation within inventory before performing the external reconciliation with GL.
Does the material account distribution summary report supposed to match with transaction value historical report - average costing. Are the figures supposed to match for a given month? should these report values be compared to perform Internal reconciliation for Inventory?
Please advise.
Thanks
Mythson
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