RXi Cost Clearing Reconciliation Report Displays Wrong Company Segment Values (Doc ID 558203.1)

Last updated on NOVEMBER 03, 2016

Applies to:

Oracle Assets - Version 11.5.10.2 to 11.5.10.2 [Release 11.5]
Information in this document applies to any platform.

Symptoms

After an upgrade from Release 11.5.9 to 11.5.10, find that RXi: Cost Clearing Reconciliation Report is not showing same result.
Output is wrong with farxajb.pls version 115.21 shipped with Release 11.5.10 for assets having several source lines with distinct PAYABLES_CODE_COMBINATION_ID. The report's output shows all lines with same asset clearing combination as first row. This doesn't match CCIDs in FA_ADJUSTMENTS table.
Output was fine with farxajb.pls version 115.8.8.6 delivered with Release 11.5.9.

EXPECTED BEHAVIOR
Expect 11.5.10 report's output to display correct asset clearing combination.

STEPS
The issue can be reproduced at will with the following steps:
1. Run RXi: Cost Clearing Reconciliation Report in 11.5.9
2. Run RXi: Cost Clearing Reconciliation Report in 11.5.10 after the upgrade

.

Cause

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