In your company code, you report on profit center and segment level. You post a single invoice document for office supplies that has multiple expense line items per profit center. What document splitting process does the system use to assign the correct profit centers and segments to the bank account line item when you post a payment for the invoice?
Kimbery
3 months agoJoana
3 months agoLonny
3 months agoThaddeus
2 months agoJarod
2 months agoIsadora
2 months agoMaryanne
3 months agoLorita
2 months agoJudy
3 months agoFrance
3 months agoAmber
3 months agoTarra
3 months agoTheresia
3 months agoEdna
2 months agoAudra
2 months agoDelfina
2 months agoJamal
2 months agoZachary
2 months agoDonte
2 months agoFelix
3 months agoGayla
3 months agoKaron
3 months agoSelma
3 months agoTess
3 months agoLucille
4 months agoDona
4 months agoHannah
3 months agoVallie
3 months agoKimbery
4 months agoSkye
4 months agoStefania
4 months agoKara
3 months agoJarvis
4 months ago