Account Reconciliation Manager Custom Attribute List Value Fails To Automatically Display New Value
Last updated on OCTOBER 02, 2017
Applies to:Hyperion Financial Close Management - Version 184.108.40.206.200 and later
Information in this document applies to any platform.
In Account Reconciliation Manager, you are attempting to edit a list type Custom Attribute with Calculation enabled and Calculation Type set to "Assign List to Value". If you create a new member in the List Values section, it does not automatically add the new member into the Assigned Values table below. The only way to refresh this table is to change the current Attribute from the drop-down list with a different Attribute and then change it back the original Attribute. However, this will erase all of the Attribute members in the Assigned Values table.
Added a custom attribute.
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