Concern regarding Cost Center in FA module and Oracle Support
Hello Experts,
I would like to ask about your understanding of an asset Cost Center.
My experience is that as an asset Cost Center we understand the Assignment.
In our implementation, a Cost Center from the Assignment is populated to accountings of all kind of transactions - additions, retirement, adjustments, etc.
This is the approach used in all standard reports.
Now, we had to install "German Asset Summary Report" as a part of German localization.
In this report, a Cost Center is pulled from the Category definition.
In our implementation, this is a dummy value thus it is considered by business users as a bug.