Last updated on MARCH 17, 2016
Applies to:PeopleSoft Enterprise FIN Deal Management - Version 9.1 to 9.1 [Release 9]
Information in this document applies to any platform.
The issue is happening after applying Bug 14750960 - DEAL INTEREST PAYMENT ZERO IF PAYDOWN NOMINAL DATE BEFORE INTEREST NOMINAL DATE which was fixed in FMS Financials 9.1 Bundle #24.
When the TR_POSN is run it errors out on deals that are Interest Rate Swaps.
Negative number assigned to an unsigned field: TR_INTDT_AET.NORMAL_DAYS. (2,121) FUNCLIB_TR.PURCHASE D_INTEREST.FieldFormula Name:FillIntdt PCPC:10128 Statement:146 Called from:TR_POSN_LIB.FCHDATES.GBL.default.1900-01-01.FCHDATE2.OnExecute Statement:38
1. Navigate to Deal Management > Capture Deals > Deals, and create a Deal.
2. Click on the Interest Dates hyperlink.
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