BAL_GRP_SUB_BALS_T.ROLLOVER_DATA Is Populating With Wrong Value After CMT Import/Deploy

(Doc ID 1952003.1)

Last updated on JANUARY 05, 2017

Applies to:

Oracle Communications Billing and Revenue Management - Version to [Release 7.5.0]
Information in this document applies to any platform.
***Checked for relevance on 03-Oct-2016***


On 7.5PS6, CMT


BAL_GRP_SUB_BALS_T.ROLLOVER_DATA is populating with wrong value after CMT Import/Deploy.


During CMT Import and Deploy, rollover_data is not coming as provided in the input XML of Balance Array.

Steps to reproduce:

- Run CMT import using Billing Account input XML.
- For the newly imported account in staging database, run CMT import using Balance Array XML having the mentioned field of Rollover details.

Sample Balance Array Input XML:-

<ActBal xmlns="" xmlns:xsi="" xsi:schemaLocation=" CMT_Balances.xsd">
<ActBalArr parentRef=" /account 13944720289 0" serviceRef="987725177_ActSrv_2" Resource="1234286" elem="1">
   <BSBArr elem="1" grtObjRef="/purchased_product">

Expected Results:

Rollover data 1073807360 should get updated in the DB during CMT Import & Deploy.

Actual Results:

Rollover data is updated as 0 in the DB.




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