Co znaczy ADJUSTMENT ACCOUNT:
A profit and loss account that collects the reconciliation postings between the Controlling (CO) and Financial Accounting (FI) components in the reconciliation ledger.
You can create these accounts with any amount of detail to display in FI the postings made across company code or business area boundaries, according to:
Debit or credit CO transaction Object classSAP przykład użycia ADJUSTMENT-ACCOUNT pomoc. Jak działa adjustment-account kod programu ABAP. Wykorzystanie kodu Adjustment-Account w programie funtion module SE37. Obsługa funkcji adjustment-account
w klasie.
Słownik i definicje SAPa na A.