Can anybody help me please. I am getting an PRRW error :
"Balancing field "Profit Center" in line item 010 not filled"
Message no. GLT2201,
I have Checked all Possible Configurations, But we could not find solution.
Thanks in advance.
I think you have entered wrong configuration settings in the splitting rule, make sure it is correct.
Check profit center assignment in MM master data make sure it is assigned.
Please Check the vendor reconciliation account is correctly maintained and it has profit center assigned.
I have solved my problem on FAGL3KEH, assigning balance sheet account to profit center.
Thanks a lot for your help.
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