Issue With Parameter Values in Trial balance Report(Report and Analysis)
(Doc ID 2157060.1)
Last updated on MAY 02, 2023
Applies to:
Oracle Fusion Financials Common Module Cloud Service - Version 11.1.11.1.0 and laterInformation in this document applies to any platform.
Symptoms
On : 11.1.11.1.0 version, Technology Management - Reports/Analytics
Under Report and Analytics-> Shared Folder->Financials-> General Ledger-> Trial Balances-> Trial Balance Report -> Trial Balance Report
ACTUAL BEHAVIOR
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LOVs for Amount Type, Scenario and Currency Type show list of currencies instead of corresponding values.
EXPECTED BEHAVIOR
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LOVs for Amount Type, Scenario and Currency Type should show corresponding values.
STEPS
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The issue can be reproduced at will with the following steps:
1. Navigate to Report and Analytics.
2. Shared Folder->Financials-> General Ledger-> Trial Balances-> Trial Balance Report -> Trial Balance Report
3. Select the report and click on view.
4. Check the LOVs for Amount Type and Currency Type, it shows list of currencies... which is wrong, it should show right values.
That is how customer the report as this provide online info without submitting a job. They know about ESS job workaround but wants to know why values here are not showing correctly.
When trying to run Trail Balance Report through scheduled processes, values are showing up fine for Amount Type and Currency Type parameters.
BUSINESS IMPACT
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The issue has the following business impact:
Due to this issue, users cannot use the functionality effectively.
Cause
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In this Document
Symptoms |
Cause |
Solution |
References |