Transaction Register (XML) Report Output Shows Incorrect 'Source' Value For Cycle Count Adjust Related Transaction Type (Doc ID 2108088.1)

Last updated on FEBRUARY 18, 2016

Applies to:

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

Symptoms


Output from the Transaction Register (XML) report is showing different value for 'source' than the Transactions Register report for transaction type 'Cycle Count Adjust'.
 
STEPS
--------

1. Run the Transactions Register report for transaction type 'Cycle Count Adjust' and check the value for source.
2. Run the Transactions Register (XML) report for transaction type 'Cycle Count Adjust' and check the value for source.
3. Check both report output for example cycle count adjust transaction type and notice that the Transactions Register report will show a source
value that is expected while the Transactions Register (XML) report will show the source value as something related to sales order related information.
 

Cause

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