Manage Mapping for Receipt Accounting
1. Accrual Account
2. Receiving Inspection
3. Manage Account Rules
4. Manage Subledger Journal Entry Rule Sets
5. Manage Accounting Methods
Best Practice: Duplicate the seeded Accounting methods for receiving
6. Verification
Purchase Order
Create Receipt
Run: Transfer Transactions from Receiving to Costing
Create Receipt Accounting Distributions
Review Receipt Accounting Distributions
Create Accounting -> receiving account
Review Receipt Accounting Distributions