Hi guys,
Please assist me.
My rebate type has a settlement type set to u201CCredit-side settlement at site levelu201D.
So, if settlement is effected at site level, the rebate income should automatically be apportioned among the individual sites in the accounting system.
However, I donu2019t see this happening.
How will I see or know that settlement has been apportioned among the individual sites?
Is there something missing that I should have done?
Please help.