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Wrong Date Populating In IC Charge (Doc ID 2663033.1)

Last updated on APRIL 27, 2020

Applies to:

Oracle FLEXCUBE Universal Banking - Version 14.2.0.0.0 and later
Information in this document applies to any platform.

Symptoms


IC charge is configured at product level. when IC charge triggering that for a CASA account, when Cheque book or Stop Payment. ictb_chg_val sets wrong ITM_DT i.e. one day ahead of current branch date due to which its liquidation does not trigger on the same date as it was issued.




Cause

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In this Document
Symptoms
Cause
Solution
References


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