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Generate run balances seeded process
Summary:
If we run Generate Run Balances need to know what all are the transactions/records are added/updated in the Pay_run_balances tables
Content (please ensure you mask any confidential information):
If we run Generate Run Balnaces, it will load the data in the Pay_Run_Balances table. If we run the same process multiple times daily then it will delete exiting entries and create new entries or update existing entries based on the parameters. Here we need to know what all are the transactions/records are added/updated in the Pay_run_balances tables. We didn't find any date (creation_date, last_updated_date..etc) column in this Pay_run_balances.
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