Your client has posted a fixed asset journal entry to the G/L but is getting errors when trying to post the entry to fixed assets.
Which two statements correctly indicate reasons for the entry not getting posted?
The entry has a fixed asset post code of P.
The entry has a hold code of blank,
The entry has a GL post code of P.
The entry contains accounts within the FX range of AAIs.
The entry does not contain an asset number.
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