Running Auto Bank Statement R09616 wihtout Statement Date into Processing Otpion
Hi,
The job R09616|COOP018 is scheduled to run every day at 7:26, the lot RB created on the system without any problem, since a couple of weeks the lot type RB not created. After checking on the program P09616, the amount transaction is there, F09616/F09617. To correct the situation, we run the job manually by specifying the statement date on the processing option R09616|COOP018.
The only thing is different between running the job R09616 manual and the scheduler is the statement date.
Any help I appreciate
Regards
Mohamed
EnterpriseOne 9.00
Tool Release : 9.1.5.5
Enterprise Server : W2012x64 R2 / Visual C++ .NET 2010