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The Policy Values Screen Displays Wrong Fund/Value After Running Stored Procedure Asc_GetDepositValueList (Doc ID 2694993.1)

Last updated on JULY 29, 2020

Applies to:

Oracle Insurance Policy Administration J2EE - Version 11.2.0.22 and later
Information in this document applies to any platform.

Symptoms

On : 11.2.0.22 version, General

ACTUAL BEHAVIOR
---------------
After updating to 11.2.0.22 and applying the update for asc_GetDepositValueList when the users process their transfer activity in OIPA on the values screen it does not show the correct funds, it displays too many.
In OIPA the valuation and amounts are correct but it is displaying the fund that was just transferred from when it should not on the values screen.
If they use the previous version of this stored procedure the correct funds are displayed on the values screen.


EXPECTED BEHAVIOR
-----------------------
After processing a sweep transfer or similar activity the current funds are displayed on the Values Screen.


STEPS
-----------------------
The issue can be reproduced at will with the following steps:
1. Using an Equity product which has multiple funds.
2. Allocation Money to one of the funds and note what is displayed on the Policy Values Screen.
3. Process a Sweep Transfer or similar activity to move the money from the original fund to a different one.
4. On the values screen notice that the old fund is also still displayed when it should not be.

Cause

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In this Document
Symptoms
Cause
Solution
References


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