After Processing Settlement File We Detect Extra Entries Related
(Doc ID 2424543.1)
Last updated on JULY 23, 2018
Applies to:Oracle FLEXCUBE Universal Banking - Version 12.0.2 and later
Information in this document applies to any platform.
Every day after processing settlement file (one we get from processing center) we detect extra entries related to inter branch transactions (terminal branch and Card number branch are different) in ACTB_DAILY_LOG table. This issue become the reason of disbalance.
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