How to Load Data from STG_CORRESPONDENT_ACCOUNT into Processing Tables to Generate Interest Cash Flow
(Doc ID 2537482.1)
Last updated on AUGUST 20, 2019
Applies to:Oracle Financial Services Asset Liability Management - Version 8.0.2 and later
Information in this document applies to any platform.
Oracle Financial Services Analytical Applications (OFSAA)
On : 8.0.2 version
How to load data from STG_CORRESPONDENT_ACCOUNT into the processing tables.
To configure Nostro, Vostro and Federal cash balance to generate interest cash flow, data need to be loaded from STG_CORRESPONDENT_ACCOUNT to the processing tables ie: FSI_D_CASA, FSI_D_CREDIT_LINE.
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