Hi Eli,
same chart of account is being used for all 10 company codes plus commitment items are generic for all company codes the only change i think we will be needing to make is the company code assignment in fund center this will ensure that accurate commitments are derived during postings. or should i leave the company code assignment blank too in Fund center master? we will use the same derivation strategy and FM area for all company codes. am i right in this scenario and will this work?