Using the Flexible Invoice and Adjustment to enter additional items or services to bill to customer. In some cases, the line item has a different GL subaccount than the Project so a task could be split to 2 GL subaccounts.
In all cases, the GL subaccount that is in the line item is not recognized and a GL subaccount from the project is used in posting. The original GL subaccount is in the pjinvdet table but the GL reflects a different account.
Any suggestions?
Thanks,
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