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Troubleshooting Trade Management and General Ledger Reconciliation Accounting after running Run OZF-TM: Transfer to General Ledger Concurrent Program (Doc ID 564126.1)

Last updated on JANUARY 06, 2021

Applies to:

Oracle Trade Management - Version 11.5.10 to 12.1.2 [Release 11.5 to 12.1]
Information in this document applies to any platform.

Purpose

 The purpose of this document is to provide troubleshooting steps when reconciling Trade Management and General Ledger.

Troubleshooting Steps

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In this Document
Purpose
Troubleshooting Steps
 OFFER
 CLAIM
 QUERY: Accounting for one concurrent request id  (OZF Transfer To GL)
 QUERY: Accounting for a specific budget
 QUERY: Budget number criteria
 QUERY: Budget number and date interval criteria
 QUERY:  nformation about one specific claim accounting
 QUERY: Information about one specific offer accounting
 QUERY: Information about sum of both Offers and Claims accounting for one budget
References

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