FAH Technical Details
Dear Team
We are doing pilot project on FAH. Taking sample transaction from Legacy System and generating Journal Batches in GL.
We are working on the requirement which will be fairly get closed in few days.
Now on technical side, what we understand that we need to update the data in Custom tables ("Header" & "Line" table). Also the seeded SLA table i.e. XLA_TRANSACTION_ENTITIES and XLS_EVENT table need to populate data.
What is the process to populate data in the XLA_TRANSACTION_ENTITIES and XLS_EVENT tables?
Are these tables get updated after we ran Create Accounting or before that ?