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1.5 300000 Payables - Trade Account: For this account examine the Control Data tab for your company code (USXX). Look at the Account Group entry.
1.5 300000 Payables - Trade Account: For this account examine the Control Data tab for your company code (USXX). Look at the Account Group entry. Now look at the same field for account 300200 Payables - Dir.Post. First, describe what this field represents and then explain why this field is different for the two accounts. 300000 Payables-Trade Account Group: Reconciliation Accounts 300200 Payables-Dir.Post --Account Group: Balance Sheet Accounts
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