Wrong OSP accounts getting chanrged
Hello,
There is one OSP item ABC which is having ALT and Primary routing. We have created few jobs with ALT routing for this OSP item ABC, but now we are seeing that wrong OSP accounts (xyz) are getting charged for WIP Valuation' in material distribution. However in 'WIP Accounting' Set ups for OSP job type, same (xyz) acount is used for resource transactions entries. But if we check the reource tranasations for this specific item's wip job, we can see that acoount charged is different and its correct account.
On the other side, other OSP items in the same orgzanization, are having correct account charged in reource transactions and in material distributions as well.