CREATE ACCOUNTING PROGRAM AND SECONDARY LEDGER WITH DIFFERENT SLAM
Hello All,
I am in a debate on how the create accounting program works with a secondary ledger with a different SLAM assigned to it.
My understanding is that a different SLAM can be assigned to a primary ledger and a secondary ledger, and once create accounting is generated for a transaction, SLA automatically/simultaneously creates the respective accounting representations in both the primary and seconary ledgers.
A colleague is stating that the create accounting program can only be run for a specific ledger (which is true since it is one of the concurrent request parameters).
However, I have been told from different sources that the ledger parameter of the create accounting program being set to the Primary Ledger will pick up all associated secondary ledgers.
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