About calculating allocations
When you run Allocation Calculation (CA110), the program creates allocation transactions based on the criteria defined in each allocation line. These transactions are batched together in a file that you will use during the allocation interface procedures.
You can run the program for one released allocation, all released allocations, or all released allocations that were assigned to an allocation group.
If the results of the calculations are not what you expect, then you must unrelease the allocation, make the appropriate changes, release the allocation, then run Allocation Calculation (CA110) again.
When the desired results are achieved, you must interface the transactions to update the General Ledger system. Interfacing actual type allocations Interfacing budget type allocations