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 _______________________________________________________________________________ UNSUBSCRIBE or access ARSlist Archives at www.arslist.org Platinum Sponsor: www.rmsportal.com ARSlist: "Where the Answers Are"

