Financial Management - PSFT (MOSC)

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nVision reporting across multiple SETIDs

We are on PeopleSoft FSCM 9.2 and recently added a new SETID for administration of a new business segment. We previously only had 1 SETID and now we have 2. We have ledgers configured and working under each setid...including nVision reporting against each ledger under each SETID. These reports are separated as nVision uses SETID to drive reporting. Our finance team has asked us to create nVision reports that combine our financials from our two primary operating ledgers which as stated, reside under their own SETID. We are looking for guidance on the most efficient means possible to do this.

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