Exchange Rate Type & Exchange Rate Date not populated through ce_bank_pub.create_bank_acct API
Hi, I am creating Internal Bank Accounts using "ce_bank_pub.create_bank_acct" API. However, this is not populating the 'Exchange Rate Type' and 'Exchange Rate Date' . The record type - p_acct_rec is not initializing these 2 values. Please suggest how to get them created.