I have a question about the settlement of line items from wbs elements to asset under construction, whereby the original item has been booked with partner company. When I analyze the line items on wbs element partner information is still there. But as you know it is lost with the periodic settlement to asset under construction.
How is the best practice solution for this process? You know you have to split asset acquisition into third party or partner transaction and I am wondering how you can automate this when using IM for asset under construction...?
Is there any possible user exit we can use?
Thanks and regards!