Hi,
I created an integration for fixed assets but in GP change the accounts when create the fixed addition, I have the account group Id with the corrects accounts but when check by tables the FA00902 has differents accounts for the FAADD transaction, the FA00400 has the correct accounts,
What can be the problem in IM? because directly in GP it's ok.
Regards
Julia
Hello Julia,
Thank you for your post. Generally, with issues such as these, you would want to start by creating a new Account Group and testing with that to see if the issue continues to occur or not by using that new Account Group in the import. If so, we would likely need to troubleshoot this through a Support Case with the Dynamics GP team in order to dig into this further, as we would need to review the actual setup of the import from within Integration Manager, and perform some testing from that point.
Regards,