ECM: Treasury Accounting, Cash Forecast and Settlements Field Alignment Problems Using Classic Plus in Chrome
(Doc ID 3060453.1)
Last updated on NOVEMBER 25, 2024
Applies to:
PeopleSoft Enterprise FIN Cash Management - Version 9.2 to 9.2 [Release 9]Information in this document applies to any platform.
Symptoms
Multiple Fields in Treasury Accounting, Cash Forecast and Settlements pages have Field alignment Problems using Classic Plus in Chrome.
Steps to Replicate:
1. Cash Management > Treasury Accounting > Accounting Entries
Field labels not aligned: Created By, Orig Accounting ID
2. Cash Management > Treasury Accounting > Define Substitution Rules
Field labels not aligned: Setid, Substitution Rule
3. Cash Management > Treasury Accounting > Accounting Events
Field labels not aligned:
Accounting Events tab - Unit, Source Code, Event ID, From Date, To Date, Status
BSP Accounting Events tab - Unit, External Bank ID, From Date, To Date, Status
4. Cash Management > Treasury Accounting > Accounting Summary
Field label not aligned: Source Code
5. Cash Management > Cash Forecast > Define Cash Forecast > Define Time Sets
Field labels not aligned: Number, Start Type, Cycle Type, End Type, Relative
6. Cash Management > Cash Forecast > Integration > Import Cash Forecast Data
Field label not aligned: *Import Type File Location
7. Cash Management > Cash Forecast > Define Cash Forecast > Worksheet Definition
Field label not aligned: Alert
8. Cash Management > > Cash Forecast > Define Cash Forecast > Position Source > Selection Criteria
Field labels not aligned: SetID, Source
9. Cash Management > Settlements > Select Settlements
Field labels not aligned: Source Unit, Bank Code, Bank Account, Currency, From Date, To Date, Status, Select All, Clear All
Changes
Cause
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In this Document
Symptoms |
Changes |
Cause |
Solution |
References |