General Ledger Journals Unavailable For Manual Reconciliation In Cash Management (Doc ID 2154565.1)

Last updated on JULY 01, 2016

Applies to:

Oracle Fusion Cash Management Cloud Service - Version 11.1.11.1.0 and later
Information in this document applies to any platform.

Goal

On : 11.1.11.1.0 version, Set Up CTM-Define Bank Statement Processing and Reconciliation

General Ledger journals unavailable for Manual reconciliation in Cash Management

We had a functionality in R12 where we could reconcile the GL journals with Bank Statement Lines.
We cannot find GL transactions in CM now in Fusion.

Please suggest.
 

Solution

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