flex_value vs flex_value_meaning
hello
in oracle 12.2.5 in setup/financials/flexfields/key/values , for instante the segment natural account of the Accounting Flexfield,
when entering a new Value, the Translated Value ( which is the fnd_flex_values_vl.flex_value_meaning table field) is populated automatically (same as Value), what is the use of 'Translated Value '? is it displayed in a kind of report?
many thanks for your comments