Last updated on SEPTEMBER 14, 2016
Applies to:PeopleSoft Enterprise FIN General Ledger - Version 9.2 and later
Information in this document applies to any platform.
When running an allocation. The Rate Type configured on the allocation step is not being populated on the secondary ledger of the allocation journal. The system appears to be pulling the default rate type populated from the Ledger Group Configuration page for the value on the secondary ledger of the allocation journal.
This issue is causing the ledgers to fall out of sync since a different rate type is being populated on the primary and secondary ledgers of the allocation journal.
Is this correct behavior?
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