You want to create account entries for goods receipt when exiting Purchase Order. Receive Goods (PPS300) so that general ledger is updated.
Which one of the following Create Account Entries at Goods Receipt field alternatives must you select on CAS900 so this happens?
You need to reset the indicator for transfer of the internal account entries if the costing transactions fail to transfer and update the general ledger.
Which one of the following programs should you use?
Which one of the following programs do you typically use to select one costing model for purchase costing and one for distribution costing for
each combination of item and facility?