OFSFTP Adjustment Rules - Formula Based Rule Not Producting Correct Output
Last updated on FEBRUARY 28, 2011
Applies to:Oracle Financial Services Funds Transfer Pricing - Version: 5.1 to 5.1 - Release: 5 to 5
Expect to see liquidity_premium_rate column is populated for other terms that have been defined.
The issue can be reproduced at will with the following steps:
1. Created Interest Rate Code (IRC)
2. Created Adjustment Rule
3. Ran the rule for the as of date.
4. Found output on One Day instrument only - all others does not have liquidity_premium_rate output
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