Recurring Cycle Validity Dates of Sub-balances is Not Set
(Doc ID 2122683.1)
Last updated on MARCH 06, 2019
Applies to:Oracle Communications Billing and Revenue Management - Version 220.127.116.11.0 to 18.104.22.168.0 [Release 7.5.0]
Oracle Communications Pricing Design Center - Version 22.214.171.124.0 to 126.96.36.199.0 [Release 11.1.0]
Information in this document applies to any platform.
On : PDC 188.8.131.52.0 version, User Interface
Product created and synchronized from PDC does not set validity dates of granted sub-balances when purchased.
All products configured in PDC in accordance to below steps do not have validity dates set for granted free units.
Expected result is to have and present validity date according to end of recurring/billing cycle (VALID_TO on sub-balance should be filled)
The issue can be reproduced at will with the following steps:
1. Create recurring charge (forward arrear) with some free units credit in PDC. Credited free units have "Amount is valid" attribute set to default. OR select valid from = start immediately , valid to = relative to start, end in 1 recurring cycle
2. Submit charge offer to rating engines.
3. Check in BRM validity dates of granted free units -- no validity dates are set.
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