Hello Experts
I am configuring Equity Method for Associates.
I have two sccopes of reported data I.e. Net Income and Dividends Paid.
The Location of values are Net Income fs item and Dividends paid.
The Equity Method Postings have been set up as required.
I am only reading reported data and there is data against the required location of values fs items but when I run the cons of investments it only reads the first scope i.e. Net Income and not the second.
Dont k