Manual reconciliation error message in cash management
AVAILABLE_EVENT.update_row procedure rasied unhandled exception.
Exchange rate is already defined for the date . In spite of that i am getting above error message.
Another thing . I am getting another error message FRM-40735: WHEN-BUTTON-PRESSED trigger raised unhandled exception ORA-06503. When i am trying to reconcile the foreign currncy bank account. Can you please help me in this regard,