Dear Friends,
I am getting following error while posting the treasury transactions for FD product 51A.
I have done the necessary cost centre-profit centre configuration in
"allocate additional account assignments to account assignment reference" for the concerned account assignment reference.
Earlier this issue was not coming as the FI people had kept a default profit centre in FI configurations for our controlling area. Now they have removed that default cost centre.
The default cost centre that they maintained in FI and I maintained in treasury settings was same.
Can there be any other FI settings missing or any treasury settings missing?
Regards,
Rohan