I have set up a Source cost center and 2 target cost centers with equal
distribution.

I am trying to understand where the split in costs occur for this split cost
center?

I had assumed that when you create an Asset and create a purchase cost
against the source that it would in turn create two cost entries for the
target cost centers; however, this is not happening.

Perhaps, I am not understanding the intended use of this functionality???

Can someone explain where you would see the split costs or if you can?

AM 703 P7

thanks!!

 

Janie

 


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