Last updated on JUNE 25, 2017
Applies to:Oracle Trade Management - Version 11.5.10 and later
Information in this document applies to any platform.
In Release 12, The entire accounting of Subledgers is handled by SLA and in Other applications (eg AP/AR) data flow is: AP/AR base tables(On invoice completion) > XLA tables (On Accounting) > GL Tables (On transfer)
In Channel Revenue Management (ChRM) Application, does data pass through the XLA tables?
How does ChRM handle accounting in Release 12?
What is the purpose of these tables and when data in these tables gets populated?
Sign In with your My Oracle Support account
Don't have a My Oracle Support account? Click to get started
Million Knowledge Articles and hundreds of Community platforms