Oracle Fixed Assets Transition to SLA
We are upgrading to Oracle Release 12 from 11i where the seeded Account Generator Workflow was used. In R12 we need to modify the SLA rules so that an additional segment is populated for P&L Transactions with a segment value from the Asset Assignment. When I was reviewing the SLA rules I see that there are several new accounts included that were not in 11i. Does anyone know how these accounts are used? Is there a good document that explains these? The examples below are from the Journal Lines Definitions - Line Assignments in the Event Class Additions for the