R12: CE: Can Bank Statement Line Be Reconciled With GL Journal Entry Using Clearing Account
(Doc ID 1566195.1)
Last updated on DECEMBER 04, 2019
Applies to:Oracle Cash Management - Version 12.1.3 and later
Information in this document applies to any platform.
Why is only the GL journals created with 'Cash Account' available to reconcile and not the journals with 'Cash Clearing Account'?
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