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FRY14M: Measure Description Issue For Line Item 6 And Usage Of SYSDATE In Reported Measures (Doc ID 2468172.1)

Last updated on MARCH 01, 2019

Applies to:

Oracle Financial Services Regulatory Reporting - Version 8.0.0 and later
Information in this document applies to any platform.

Goal

Question 1: let us know the rationale behind using 'SYSDATE' whereever the
description instruction states 'REPORTING DATE' or 'REPORTING MONTH' is
referred.

Question 2: For the Report Y14M, Line Item no 6 (MDRM: CCRSM120), having the Line Item
Name as "End of Month Book Receivables" is being reported by measure -->
MRA2004 in Derived Entity DERR2814, whose description is also "D2 End of
Month Book Receivables".

Question 3: This is regarding the mapping available for the new field mentioned
F_NEW_ACCOUNT_IN_MONTH.
Expression to populate F_NEW_ACCOUNT_IN_MONTH uses
FCT_COMMON_ACCOUNT_SUMMARY.N_ORIGINATION_DATE_SKEY.
 

Solution

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In this Document
Goal
Solution
References


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