Dear all,
I am implementing ICR reconciliation process 002 and I have some questions regarding process's behaviour and functionality. I have set u201CDefine Rules for Document Assignments" as following:
1 POPER Posting period = Equal POPER Posting period
10 RTCUR Transaction currency = Equal RTCUR Transaction currency
20 TSL Transaction Currency -1 Opposite Amount (Only for Value Fields) TSL Transaction Currency
1/ when running trx 'FBICR2 - Reconcile Documents Manually' although there are only 2 items and they are reconciled and appear as without differences, group's status on navigation tree is "yellow" (Unassigned items). I expected that it will be "green" (Assigned without differences).
2/ I do not fully understand process behaviour. Although all accounts included in a group are balanced to zero; group status appears "yellow" (Unassigned items) and I have to unassign them in the assigned data view (bottom of the user interface) and then assign them manually again in order to get them in "green" status (without differences).
I understood for process '002' reconciliation is in a account balance point of view and not try to clear item by item. Am I right?
3/ If I am reconciliating company A with partner B in FBICR2, when I assign manually items and reconcile all accounts for this Company A/Partner B I expected that status for Company B and Parther A would be updated but transaction do not seems to work as I expected. Is this the correct behaviour or am I doing something wrong?
Cheers