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Oracle Revenue Management and Billing (ORMB) v2.9 Should Allow Users to Control Exchange Rate Selection Date (Doc ID 2721240.1)

Last updated on OCTOBER 27, 2020

Applies to:

Oracle Financial Services Revenue Management and Billing - Version 2.9.0.0.0 and later
Information in this document applies to any platform.

Goal

On : 2.9.0.0.0 version, MICC Transfer to TSC

ORMB v2.9 should allow users to control exchange rate selection date.

ORMB v2.9 fetches or gets exchange rate for bill generation using WIN_START_DT or CUT_OFF_DT. We have a requirement where they want to select exchange rate on the basis of BILL_DT or DUE_DT or CRE_DT.  Requesting that the system provide flexibility in the exchange rate algorithm to allow it to select exchange rate using the parameter of BILL_DT, DUE_DT CRE_DT COMPLETE_DT or WIN_START_DT.

Asking that a similar enhancement can be done for Payment, Adjustment and TFM data.

Solution

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In this Document
Goal
Solution
References


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