Last updated on APRIL 25, 2016
Applies to:PeopleSoft Enterprise FIN Asset Management - Version 9.1 to 9.2 [Release 9]
Information in this document applies to any platform.
Cost table’s txn_cost amount is being populated incorrectly when an adjustment is performed.
1. Add an asset.
2. Adjust the cost of the asset though adjust/transfer page:
Change the following fields:
Cost from $7600 to $999
Adjust current row by: -7600
Click “Apply” button:
After clicking “Apply”: New cost value is -6601 - Appears to have adjusted the new Cost value of 999 by -7600 Save the page.
On the cost table, you see the txn_cost = -7600, but the cost = -14201. The cost is correct based on the adjustments that happened but the txn_cost I would think should match the cost for this ADJ row.
Result: txn_cost on the Cost table is populated incorrectly.
Replication steps and the data are attached to the bug.
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