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Hi Experts, We have following scenario: System ECC 6.0 New GL not implemented Reconciliation ledger activated Client is using Tcode KALC for reconciliation posting. Wherein two GL accounts (706000 - FI/CO recon & 803000 -General and Administrative Allocation) are impacted for several company codes. The issue: On FI side value is triggered for above 2 GL accounts, However on PCA side value is not triggered. Thus there is a difference between FI value & PCA value. Would like to know what would be the cause of above variance? Should i look into reconciliation ledger customization? Help is appreciated. Sundar | __.____._ Copyright © 2011 Toolbox.com and message author. Toolbox.com 4343 N. Scottsdale Road Suite 280, Scottsdale, AZ 85251 | | _.____.__ |