Hi,

When I create the invoice journal I split the cost of the invoice between 
different cost centres. I was wondering if there is a setup that I can select 
to pull these cost centre selections into the payment journal when I do a 
settlement. Currently it consolidate the outstanding amount for the vendor and 
therefore it does not clear the amounts posted to the cost centres that were 
created when the invoice journal was posted.

Any ideas?

Thanks
Marica

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