Last updated on JULY 08, 2015
Applies to:Hyperion Financial Data Quality Management, Enterprise Edition - Version 188.8.131.52.500 and later
Information in this document applies to any platform.
User importing actual data from PeopleSoft Financials by using the build in PeopleSoft Adaptor. The problem is when user try to reconcile Hyperion to PeopleSoft amounts do not match. The main suspect seems to be the PeopleSoft field that user are pulling amounts from. There are three amount fields in PeopleSoft: POSTED_TRAN_AMT, POSTED_BASE_AMT and POSTED_TOTAL_AMT.
It there anyway we can tell what field the delivered adopter functionality is pulling?
How can we specify which amount filed to pull in FDMEE ?
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