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Cash Management Issue: Reconciling A Receipt Which Has Bank Charges Creates A Miscellaneous Receipt Automatically (Doc ID 1400857.1)

Last updated on FEBRUARY 14, 2019

Applies to:

Oracle Receivables - Version 12.1.1 to 12.1.3 [Release 12.1]
Information in this document applies to any platform.

Symptoms

While reconciling a receipt which includes bank charges, why is a miscellaneous Receipt automatically created?

Cause

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In this Document
Symptoms
Cause
Solution
References


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