In our project, we have implemented new report called ZS_ALR_87012178 here we can execute report profit center wise.
Now the problem is when we execute report for all profit centers, it displays the all profit centers but with same customer if we execute single profit center then the amounts are not matching.
for all profit centers we got : profit center A - 150
for profit center A - 175
in both cases the amount should tally.
we verified same in the logic ang got that one document contains multiple profit centers, so the report picks profit centers randomly.
In the report which profit center we should pick?
I think u understand the problem.
I will assign the points