Program – Update Settlement Bank Account
NAME: Program – Update Settlement Bank Account
SHORT CODE: XTRUPBAC
MODULE: Oracle Treasury
Description: Program – Update Settlement Bank Account
Navigation: Oracle Treasury Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.
Report Parameters:
- Party : Party
- Old Bank Account : Old Bank Account
- New Bank Account : New Bank Account
- Starting Cash Flow Date : Starting Cash Flow Date
- Ending Cash Flow Date : Ending Cash Flow Date
- Deal Type : Deal Type
- Starting Deal Number : Starting Deal Number
- Ending Deal Number : Ending Deal Number
- Include Journalized Cash Flows : Include Journalized Cash Flows
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