IPV & ERV SLA Setup
Hi -
For event type 'Invoice IPV Adjustment'
there are two journal line types
1-Inventory Valuation
2-Invoice Price Adjustment
for 'Inventory Valuation' all conditions here are based on the subinventory name ..
for example : ( Journal Line Type = 'INV' ) AND ( Subinventory = 'xxxx' )
* my problem is that we are always getting the values in the ELSE account !
I want the value to be distributed on the subinventory where the receiving transaction was done in , is that possible ?
the same issue for 'Invoice ERV Adjustment'
Regards