Unable To Reconcile Bank Statement To GL Journal
(Doc ID 2605091.1)
Last updated on AUGUST 04, 2022
Applies to:
Oracle Fusion Cash Management Cloud Service - Version 11.13.19.07.0 and laterInformation in this document applies to any platform.
Goal
Why in Manual reconciliation page only the debit line from journal is displayed?
Solution
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In this Document
Goal |
Solution |