I´ve copied a company depreciation catalog to work with another company; i thought them would behave in the same way, but seems that there are special settings that do not copied same, and there are other settings form company that are not same (although they're supposed to be same configuration between companies)
Is there a way to check that they will behave in the same way? (specially for asset accounting transactions)
I want to avoid checking differences node by node in both catalogs.
Edited by: lidya cota on Mar 26, 2008 8:20 PM
What should i check to verify 2 depreciation catalogs will have the same behavior?
What should i check to verity 2 companies in their asset accounting will have same behavior?
What should i check to verify 2 companies in their transactions for asset accounting will have same behavior?
Any answer is welcome.
Edited by: lidya cota on Mar 27, 2008 7:12 PM