Recurring Cycle Validity Dates of Sub-balances is Not Set
(Doc ID 2122683.1)
Last updated on FEBRUARY 07, 2024
Applies to:
Oracle Communications Billing and Revenue Management - Version 7.5.0.0.0 to 7.5.0.0.0 [Release 7.5.0]Oracle Communications Pricing Design Center - Version 11.1.0.7.0 to 11.1.0.7.0 [Release 11.1.0]
Information in this document applies to any platform.
Symptoms
On : PDC 11.1.0.7.0 version, User Interface
ACTUAL BEHAVIOR
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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 BEHAVIOR
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Expected result is to have and present validity date according to end of recurring/billing cycle (VALID_TO on sub-balance should be filled)
STEPS
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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.
Changes
Cause
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In this Document
Symptoms |
Changes |
Cause |
Solution |
References |