Which two are prerequisites for creating subledger accounting entries?
A. Completing accounting transformation definition and activating Subledger Journal Entry Rule Set assignments for the Accounting Method
B. Populating supporting reference information in reference objects
C. Selecting source values from transaction objects
D. Creating subledger accounting events
E. Completing preaccounting validation
When we create subledger accounting entries, accounting events(D) are already available in the list of values, no need to create/define ‘subledger accounting events’.
Any view on why D is not one of the option?