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The request from the client is to have the due to/due from accounts pull the financial dimensions from the related lines when entering a multi-line intercompany journal (works fine on single line). They have the trading partner dimension on the intercompany transaction so this is posting to the P/L side but it does not flow to the due to/from accounts. We would expect the system to be able to break up the accounts/amounts based on the line amount.
STATUS DETAILS
New