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CL:CLDACCNT:While Creating A New CL Contract The Bridge GL Is Not Defaulted For ALIQ/MLIQ Maintained At Product Level (Doc ID 2789113.1)

Last updated on JULY 05, 2021

Applies to:

Oracle FLEXCUBE Universal Banking - Version 14.4.0.0.0 and later
Information in this document applies to any platform.

Symptoms

On : 14.4.0.0.0 version, Implementation Support

ACTUAL BEHAVIOR
---------------
 When creating a new CL contract using Product default option, at disbursement, in accounting credit entry, the account is coming as the bank account instead on bridge GL which is maintained at the product Level, If copying the same CL contract and enriching it, then in disbursement accounting credit entry is taking bridge GL.

EXPECTED BEHAVIOR
-----------------------
Bridge GL should be taken by CL contract accounting when created with product default option as maintained at the product level

STEPS
-----------------------
The issue can be reproduced at with the following steps:
1. Maintain Bridge GL for External Payment
2. Create a new CL contract using Product Default Option
3. Check the accounting credit Entry

BUSINESS IMPACT
-----------------------
The issue has the following business impact:
Due to this issue, users cannot perform any disbursement/payment

Changes

 

Cause

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In this Document
Symptoms
Changes
Cause
Solution
References


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