General Ledger Journals Unavailable For Manual Reconciliation In Cash Management
Last updated on JULY 01, 2016
Applies to:Oracle Fusion Cash Management Cloud Service - Version 188.8.131.52.0 and later
Information in this document applies to any platform.
On : 184.108.40.206.0 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.
Sign In with your My Oracle Support account
Don't have a My Oracle Support account? Click to get started
Million Knowledge Articles and hundreds of Community platforms