on 2019 Feb 05 2:10 PM
We manage vendor contracts in SAP RE, I want items on the vendor account in SAP FI to be summarized on the vendor account.
The conditions on the vendor contract have different GL accounts.
I have a problem when it comes to linking the flow types to the summarization flow type during configuration.
How do i configure conditions with different GL accounts and VAT codes to be summarized during periodic posting.
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