Hi Eli,
We have created funds as Capex-jan, Capex-feb etc. To derive Capex-jan, we have used posting date in derivation rules, which is as follows:
Asset class + cost center + posting date = Fund + fund center + commitment item
Fund is derived using posting date, which we checked by activating trace.
Now we are facing an issue when we tested a scenario. Asset master data is not updated with fund and fund center after acquisition. I understand that derivation would work for logistic/financial document but is there any solution for this so that fund and fund center is updated in asset master data when acquisition is made?
Regards,
Atif amin