R12 Period end accrual: journal in xla with accounting_entry_status_code='I'
Hi,
I have the following situation. We went live in
May-14. During first month end, user ran concurrent "Create
accounting-Receiving" with end Date as the last day in the current month
(May-14). Due to this, the reversal
accrual journal is in xla tables but with accounting_entry_status_code='I'
and GL_Transfer_status_code='N'. User
didn't fix this situation and today we still find this journal in XLA tables.
This causes every month-end warnings in the period end accrual accounting. I guess that the best solution to fix this is
reopen the period to account the reversal journal by running de