Last updated on MARCH 08, 2017
Applies to:Oracle Trade Management - Version 12.2.5 and later
Information in this document applies to any platform.
We have to solve the issue when inconsistent volume accumulations are created by the Funds Accrual Engine. For an order with its original price, after we run the FAE (without any parameters), no records are inserted into the volume summary and detail tables. Subsequently, the same order is "re-priced", because discount modifier qualification/market eligibility has changed, then we run the FAE again, records are inserted into the volume summary and detail tables. Additionally, when we finalize the reversal utilization lines, the volume is not adjusted for the offer.
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