In the ACDOCA table there is information, I have also uploaded data using a text file to the ACDOCC. The CDS view and the composite provider also shows all the information, from both tables.
The version I am using has been configured so that "Data release" is not necessary.
But when I run the currency translation, it only takes the information from ACDOCC. The same problem whe run the intercompany eliminations, it just takes the ACDOCC data.
What additional configuration would I lack?
Thank you very much for your help