LateralFundGUID Is Required in AsFundValue Table

(Doc ID 2338016.1)

Last updated on DECEMBER 11, 2017

Applies to:

Oracle Insurance Policy Administration J2EE - Version and later
Information in this document applies to any platform.


Enhancement Request

The AsFundValue table does not have a column of LateralFundGUID, so it stores the lateral fund units and cash values aggregated at the parent fund level and has no price data available for the lateral funds.
Clients use the data in the AsFundValue table to create some important customer communication document, such as, quarterly and yearly statements.

Requesting the addition of a new column "LateralFundGUID" into AsFundValue, and calculate the lateral fund info at the child fund level (instead of parent fund).


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