Payables Trial Balance Report for multiple ledgers using Ledger Set
Hello Team
We have 80 ledgers in Ledger 'TS - Ledger Set'. We created the Open Account Balances Listing Definitions using Ledger set.
However if we run the Trial balance report in AP with new Open Accounts Balances Listing definition which uses the Ledger set, there is no records in the AP Trial balance report.
But if we run the same report with sngle ledger it works.
Is there any additiona setups required to make this work for Ledger Set.?
Regards
Rajkumar