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Asset Value date in KO88 Settlement type=FUL

Update:10-11Source: network consolidation
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We do KO88 for Settlement type=PER and the posting date and value date are the end of the month.
But if we do Settlement type=FUL the posting date is end of the month and Asset value date is not (for the example we made it is 15/MM )
This is wrong and the customization of the default asset value date is Posting date.
OSS says it is consulting
Regards,
Alon G.

The Best Answer

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Hi
Check OSS Note : Note 98496 - Information: Asset value date in settlement to fixed assets.
https://websmp230.sap-ag.de/sap(bD1lbiZjPTAwMQ==)/bc/bsp/spn/sapnotes/index2.htm?numm=98496
The above not explains the logic as how the Value Date is determined during settlement.  The above not is release independent hence applies to all SAP Releases.
Thanks
Prasad
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