This task verifies that all the dates are synchronized and all required fields are filled. If a green check mark displays next to this task in the left pane, then the setup was validated. If no green check mark displays, then the validation failed. Common reasons why a validation would fail include:
· The GL Accounts/Revenue Accounts dates are not synchronized with the Rates and Pricing dates
· Failed to select active product status
· Missing GL account pairs
· Missing the default rate code
· Product default rate does not have a price associated with it
Product validation verifies that a miscellaneous product has at least one rate code, a pricing record for the default rate code, and General Ledger account numbers. Products must have a pricing record and Revenue accounts with an effective date equal to the product available date.
To validate the setup:
· From the Product Definition task category, click Validate Setup.