Accounting Centre Code Included in Site Transfer Export |
The Accounting Centre Code for each transfer is now included in the Site Transfer export |
Release date: June 25th (US) and 26th (EMEA & APAC) 2021
- Enabled by default? - Yes
- Set up by customer admin? - No
- Enable via support ticket? - No
- Affects configuration or data? - No
What's Changing?
Addition of a new 'AccountingCentreCode' column to the Site Transfer export.
Reason for the Change
Allows users of the Site Transfer export to better analyze site transfers.
Customers Affected
Customers using the Site Transfer export.
Release Note Info/Steps
The new column at the end of the export is called 'AccountingCenterCode', and contains the Unit's Account Center code for each transfer record, or NULL where there is no code assigned.
Fig.1 - New column in Site Transfer, showing Accounting Codes and NULL values
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