Not posted Treasury transactions- problem with new Business area (NewGL)

Hi all,
I have to change the Treasury account assignment objects due to a restructure. Currently, all TR transactions are assigned to one business area only.
In future, there will be 3 (different) business areas.
I have added new products, transaction tpyes etc and I have made further customising
settings. It looks ok and I can enter new transactions, settle and post them.
Problems I do have with already existing deals (fixed term and Forex transactions).
In here I get posting errors with message:
Balancing field "Business Area" in line item 001 not filled
Message no. GLT2201
I have added additional account assignment references for the new Business Areas
and assigned to product types and account assignment
What happens when I create a deal?
Is that information (product type/ transaction/ account assignment) alreaedy stored in a table and used, when processing the deal further?
Can I somehow change that original assignment per deal now?
I think my problem lies in that the system wants to use the old assignment but also the new and it comes to conflict in field business area.
Any hints much appreciated and will be reqarded as usual.
Thanks
Hein

Assign Business area in the following step (ECC 6.0)
SPRO - Financial Supply Chain Management - Treasury and Risk Management -  Transaction Manager - General Settings - Accounting - Link to Other Accounting Components - Allocate Additional Account Assignments to Account Assignment References
Kalyan

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