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Maria
New Member
Posts: 1
4/5/2011 12:13 PM
I run the AC160 and add the asset in AM15.3 but when I run AM170, the Cost Basis for the Asset is a ridiculous number. For example: It debits my asset account and credits my clearing for $85B. However, in AC160, the amount being reclassed from CIP is correct, in AM20.3 the cost is correct... I do not have a clue as to why it's incorrect in AM20.4 and in AM170.
Please help.
Dave Mitchell
Advanced Member
Posts: 18
8/1/2011 5:02 PM
Good morning. This is an issue similar to the one we experienced, and solved via CTP 76370.
A summary of the issue we had:
"When items are released from AM15, the amount being “passed” to AM115, AM170, and the GL are incorrect. One posting was for $1,441,550,687,679,813.41."
Hope this helps.
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