Not Able To Populate The Currency_secondary In Pipeline Through Account Level
(Doc ID 2951633.1)
Last updated on MAY 26, 2023
Applies to:
Oracle Communications Billing and Revenue Management - Version 12.0.0.3.0 and laterInformation in this document applies to any platform.
Goal
In a multi-currency conversion scenario, there is a need to populate currency_secondary(pricing currency) in pipeline dumps by fetching it through account_t table.
The currency_Secondary field has been declared in ifw/tools/Xmlloader/loadconfigbatch.xml and container.dsc file.
But the value of currency_Secondary field is not in any of dump.
bal_post.dump shows:
Solution
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In this Document
Goal |
Solution |
References |