EAP: Bank Reconciliation Does Not Fully Support Custom Reconciliation Rules - Unable To Open Option, Tolerances And Recon Rule Page From External Account Page

(Doc ID 2404949.1)

Last updated on MAY 30, 2018

Applies to:

PeopleSoft Enterprise FIN Cash Management - Version 9.1 to 9.2 [Release 9]
Information in this document applies to any platform.

Symptoms

When a custom reconciliation rule is created, the rule can be assigned to the external transaction, but are unable to use the options and tolerances link.

Also, on the Semi-Manual and Manual Reconciliation pages, the code which detemines the view to use based upon on the reconciliation rule does not handle custom reconciliation rules.

Steps:

1. Create a custom reconciliation rule.
2. Assign to external bank account.
3. Attempt to use the option or tolerances link.When a custom reconciliation rule is created, the rule can be assigned to the external transaction, but are unable to use the options and tolerances link.


 

Cause

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