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Value Provided In Recurring ACH Payload Is Not Populated In Tables As Expected (Doc ID 2801406.1)

Last updated on AUGUST 25, 2021

Applies to:

Oracle Financial Services Lending and Leasing - Version 14.8.0.0.0 and later
Information in this document applies to any platform.

Symptoms

ACTUAL BEHAVIOR
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The Value Provided in Recurring ACH payload is not populated in tables as expected.

When user Posts the Recurring ACH Post JSON, they are putting an enrollment type of WEB and the same is present in response JSON. However, in the UI, this is showing as PPD.

EXPECTED BEHAVIOR
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System should populate the enrollment type as WEB in the table when Recurring ACH Posted from WebService.

STEPS
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The issue can be reproduced at will with the following steps:
1. Cal the Recurring ACH Web Service with the payload details.
2. Verify the response and UI and confirm the enrollment type as "WEB".
3. Currently system populating the enrollment type as WEB in the response but not in the UI ACH Tab. System should populate WEB in UI instead of Prearranged payment deposit (PPD).

BUSINESS IMPACT
-----------------------
The issue has the following business impact:
Due to this issue, users cannot have the correct enrollment type in the UI for Recurring ACH Webservice call.

Cause

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In this Document
Symptoms
Cause
Solution


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