Dear Friends,
I have an issue here at my client's place. We are actually trying to correct some GL account assignments wrt MM-FI-SD integration.This is a kind of re- implementation. Could some one help me please wrt hows trnastion keys have to be assigned to valuation classes & corresponding GL's
Say for Eg :1. If GBB has account modifiers like VBO & VBR. SHould it have same GL's or different.. I need some detailed document .
2 . Talking to some other consultants , they told that VBO & BSV should be same. I need to know if any standard doc is present which i can follow and re- configure..
Please help
Thanks
nandu
Edited by: nandu sb on Nov 27, 2009 11:39 AM