For Asset Adjustment Clearing accounting, what is Generated Code Combination Identifier "Source" mea
Dear Team,
In Fixed Asset Account derivation rule, we are using a Source as - Generated Code Combination Identifier.
The Account Derivation rule is added for deriving Cost Center segment value for the Event Type - Asset Adjustment Clearing
This setup gives us the result we want. However, we are not clear on what this source means - Generated Code Combination Identifier.
We have Asset Cost coming from Projects. So is the Generated Code Combination Identifier the CIP Account pushed from Projects to FA.
Appreciate an answer.
Regards
pradeep