Offer Paid Amount Showing Incorrect Value Compared to Earned Amount After Reconcile
(Doc ID 2944170.1)
Last updated on SEPTEMBER 17, 2024
Applies to:
Oracle Trade Management - Version 12.2.6 and laterInformation in this document applies to any platform.
Symptoms
Actual Behavior
After reconciling Offer, checkbook Paid amount mismatch with earned amount for few offers.
Steps
1. Trade Management > Trade Planning > Offers
2. Select Offer, review the checkbook
3. After reconciliation of offer, expect to see the earned and paid checkbook amounts match.
Changes
Cause
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In this Document
Symptoms |
Changes |
Cause |
Solution |
References |