How to handle one to many mapping(PL-SL) for asset clearing account?
Hi,
We have a requirement where Asset clearing account in Primary ledger has multiple local(secondary) accounts.
141099 - 153100, 153200, 153300, 153400.
It is a statutory requirement and each of the above local accounts will be used as part of grouped asset categories. I looked through SLA, but did not get any information to solve the problem.
Please help me how to do it. Thanks.