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Cost Clearing Reconciliation Report (Report eXchange)

This report shows all assets you created or adjusted during an accounting period for which Oracle Assets creates journal entries to asset clearing accounts. Use this report to reconcile your clearing accounts between your general ledger and Oracle Assets.

You must enter a Book and Period when you request this report.

This report is only available as a Report eXchange report. You cannot run this report using the Submit Requests window.

Note: This report is available only as a Report eXchange report. You cannot run this report using the Submit Requests window.

See Also

Oracle Report eXchange User's Guide


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