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Question

Business Event - Import Scenario - AP Bills


Hello, 

 

I have created a Business Event with an Import Scenario to update the cash account on a copied version of the AP Bills and Adjustments GI.  The cash account populates on Bill doc types but not Debit Adjustments.  Does anyone have an idea of why this would be happening? 

 

 

Generic Inquiry Conditions (a copy of the OOB Bills and Adjustments Inquiry): 

 

 

Import Scenario:

 

 

Business Event parameters:

 

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