Rules
Discussion List
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Transaction Matching Like Matching Conditions for Text Strings in Oracle ARCSSummary: Is there a way to map Text Strings for Matching Rules in Oracle ARCS for Transaction Matching. For Eg including Contains or Starts With in matching rules? Conte… -
EPM planning business rules runs multiple times even after triggering only onceEPM planning business rules runs multiple times even after triggering only once. Has anyone faced this? -
Member matching expression limitationSummary: In our EPCM app, it has Entity and ICP dimensions. ICP is actually a mirror of Entity dimension with prefix “ICP_”. Every hierarchies are the same. It has a req…GaryYip-Asc 31 views 5 comments 0 points Most recent by GaryYip-Asc Profitability and Cost Management -
Could you please provide tables of Match type config to track changes made to the Match TypeSummary: We need the tables that give details of the match type configurations, so that we can use the tables to track the changes made to the match type. Changes made t… -
Setup different due dates for different profilesSummary: We have 3 different due dates for our Profiles Recon is due on 10th Day on the regular month and 15th day on the quarter end month, we are able to achieve this …Madhu Chalamalasetty 51 views 5 comments 0 points Most recent by Madhu Chalamalasetty Account Reconciliation -
How to prevent transactions from being imported twice or arriving twice in ARCSI have a connection that brings data from Oracle Fusion to ARCS to Transaction Matching aplication, the client wants to import the data every two hours, but only to brin… -
No compression set for pcm cube - How to enable this?Summary: Hi, I'm trying to export data in pcm , but getting an error - no compression is set for column dimension, please refer the screenshot, Can someone advise how to…Bernardsha C 61 views 2 comments 0 points Most recent by Don Bean-Oracle Profitability and Cost Management -
"Send Email on Update" rule - Not sending email to users if specific reconciliation is approvedSummary: Despite configuring "Send Email on Update" rule at the format, profile, and reconciliation levels, emails are not being sent to users with the reconciliation wh… -
Business requirement to manually match one sided transactionSummary: Business requirement to have one sided matching created manually by user when there is no transaction on other side flowing Content (please ensure you mask any …Vaishnavi Laguduva 21 views 3 comments 0 points Most recent by Dave Jesky-Oracle Account Reconciliation -
ARCS Many to one rule : how to group by an attribute that is not in the ruleWe want to prioritize a match to be done by summarizing amounts based on an attribute on the source system only. I explain : in the source system we have Amount station … -
Error while converting RTP To Smartlist ValueSummary: We have a requirement where we're updating smartlist values based on form POV through RTP using function : "Tgt_Dept1" = @CalcMgrDoubleFromString(@SUBSTRING(@AL… -
Using Send Email on Update rule, Preparer should be notified once every week for 30 daysSummary: Hi, We have a business scenario to send email to preparer on a weekly basis until the preparer duration (30 days) ends. The email notification is for reminding …AlagappanVeerappan 1 view 2 comments 0 points Most recent by AlagappanVeerappan Account Reconciliation -
In Oracle PCM, Can we retain the data in the application after creating new dimensionSummary: In Oracle PCM, We already have a application with existing data. Due to a new requirement, we need new dimension. Can we retain the data in the application afte…Subhojyoti Chakraborty 21 views 3 comments 0 points Most recent by Raama Rao-Oracle EPM Platform and Freeform -
Transaction Matching : How to transfer support attribute data into adjustment attributesWe want to use a one sided adjustment to self-match transactions. We need to define rules of adjutment type to create adjustments from supported transactions. Adjustment… -
Timing issue for assigning periods to auto-loaded filesSummary: We are setting a cash reconciliation flow in ARCS. Daily, a lot of files are loaded trough OIC into EPM. The issue is because the files often contain data of pr…Pieter-Jan Vandendriessche 11 views 2 comments 0 points Most recent by Pieter-Jan Vandendriessche Account Reconciliation -
calculating YTD from MTD dataHi, As the data is loaded in MTD values I want to calculate the YTD value for the Balance Sheet accounts in EPM Planning. The dynamic time series only considers the curr… -
User Smart lists in EPCM AllocationSummary: Dear Experts, How can we use smart lists in EPCM to select Entities based on Smart list values for allocation rules Content (please ensure you mask any confiden…Parmit Choudhury-Deloitte 31 views 2 comments 0 points Most recent by NarayananS Profitability and Cost Management