R12/XTR: How to Account Treasury Transactions After Settlement (Doc ID 2062865.1)

Last updated on MARCH 08, 2017

Applies to:

Oracle Treasury - Version 12.0.0 to 12.2.5 [Release 12 to 12.2]
Information in this document applies to any platform.

Goal

How to account treasury transactions after settlement of transactions, currently accounting is happening for transactions which are validated for TMM and ONC deal.
 

Solution

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