TD|System Calculate Wrong Redemption Value For TD That Redeemed Partial And Full At The Same Day On auto liquidation day
(Doc ID 2733125.1)
Last updated on DECEMBER 02, 2020
Applies to:
Oracle FLEXCUBE Universal Banking - Version 12.0.2 and laterInformation in this document applies to any platform.
Symptoms
On : 12.0.2 version, Production Support-SET
ACTUAL BEHAVIOR
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On partial or full redemption of TD, system liquidating incorrect redemption amount , if redemption is done on liquidation day.
EXPECTED BEHAVIOR
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Redemption of TD should complied expression maintain for interest calculation
STEPS
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The issue can be reproduced at will with the following steps:
1. Create a TD
2. Do partial or full redemption on liquidation day
3.Check the interest & redemption amount online
BUSINESS IMPACT
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The issue has the following business impact:
Due to this issue, bank customers are given incorrect redemption amount
Cause
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In this Document
Symptoms |
Cause |
Solution |