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Step 8 - Assign Reporting Sets of Books to Reporting Responsibilities

You or your system administrator must assign a reporting set of books to each of the reporting responsibilities defined in the previous step. This ensures that anyone using the reporting responsibility has access to the correct subledger reporting currency amounts.

Note: This step is generally performed by a system administrator.

To create the association between a reporting responsibility and a reporting set of books, set the following two profile options to the reporting set of books name at the responsibility level for each of your reporting responsibilities:

See: Overview of Setting User Profiles


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