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Exchange Rate Issue (Doc ID 2384441.1)

Last updated on JULY 11, 2021

Applies to:

Oracle Trade Management - Version 12.1.3 and later
Information in this document applies to any platform.

Symptoms

When claim is created and settled on different days with different exchange rates, Exchange rate date stored in claim header is incorrect when there is no FXGL.

Steps:
1. Trade Management User > Claims
2. Create Claim
3. Settle the Claim on different day when exchange rate is different

 

Changes

 

Cause

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In this Document
Symptoms
Changes
Cause
Solution
References


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