Assigning a ledger group to a detail account
Use this procedure to assign a ledger group to a detail account.
The chart of accounts and accounts you select must exist in the General Ledger application.
- From Chart of Accounts (GL00.1), click the Accounts button on the appropriate summary account line to open Detail Accounts (GL00.3).
- On GL00.3, click the More button for the detail account that you want to revalue, and open Account Information (GL00.4).
- On the Main tab, specify or select a ledger group in the Ledger Group field.