PA_BILLING_PUB.Insert_Event Question
                    
I posted this question previously, but there were no responses.   When adjusting billed expenditures, resulting in a crediting event, how do you associate the adjusting revenue event to the same draft revenue number as the adjusted expenditures? I am working with a developer who can't find a solution when there are multiple draft revenues created for the same original draft revenue and original event.                   
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