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Incorrect NAN values for Maturity Date And Tenor Fields In OTDTRONL Screen (Doc ID 2625504.1)

Last updated on JANUARY 05, 2020

Applies to:

Oracle FLEXCUBE Universal Banking - Version 12.4.0.0.0 and later
Information in this document applies to any platform.

Symptoms

On : 12.4.0.0.0 version, Production Support-SET

ACTUAL BEHAVIOR
---------------
While Creating new Options contract, the fields Maturity date and Tenor gets populated by default to NaN-NaN-2019 and NaN respectively.

EXPECTED BEHAVIOR
-----------------------
Maturity date should be populated correctly and tenor calculated accordingly

STEPS
-----------------------
The issue can be reproduced at will with the following steps:
1. Open Function ID OTDTRONL i.e., Options Contract Input screen.
2. Click on NEW and enter the product and relevant details
3. Tab out from Maturity Date Field.
4. Check the maturity date and Tenor field.
5. On trying to save with wrong values system shows "unhandled exception".

BUSINESS IMPACT
-----------------------
The issue has the following business impact:
Due to this issue, users cannot create contract.

Cause

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In this Document
Symptoms
Cause
Solution


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