Hi All
We have substitution rules defined. I can see there are few company codes having multiple trading partners. When I compared the sets I found different field names but same table.
For Example- Company Code ABCD has two trading partners EFGH & IJKL. Both have different sets with different filed names i.e. HKONT & SAKNR.
According to client all intercompany accounts should have trading partners.
a) How to know that XYZ is an intercompany account apart from the G/L text?
b) How to know that XYZ G/L account will be under HKONT field name & G/L account ABC will be under SAKNR.
Regards
Pankaj