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When you create a cycle to settle the restructuring cash out to an internal order in WP1, you must follow the following rules


STEP 1

Create a distribution cycle with KSU1

1. Cycle = CCCCRT

2. Start Date = 01.01.20YY to 31.12.20YY

3. Text = Restructuring Cash out

 

 

 


STEP 2

Enter

1. Segment name = cost center code

2. Segment description =  Alloc to Cash Out Restr. Order

3. Assessment CEle = 99425000 Cash out Restruct.CC

4. Receiver rule = Fixed percentages


 

5. Sender cost center = CCCC-8xxx

6. Sender cost elements group = ZRCS-CNP

7. Receiver cost centers group = restructuring order

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