Skip to Main Content

E-Business Suite

Announcement

For appeals, questions and feedback about Oracle Forums, please email oracle-forums-moderators_us@oracle.com. Technical questions should be asked in the appropriate category. Thank you!

Brazilian Receivables Post Bank Return Program

Seven Suporte SuporteMay 6 2020 — edited Feb 9 2021

O que significa na tela Receipt Method Accounts, o campo Bank Floating?

Colocamos a GL date para derivar da data do depósito e o programa Brazilian Receivables Post Bank Return Program está colocando a GL_DATE com 1 dia de diferença da data de depósito.

Ex: Data do depósito = 06/mai/2020 GL_DATE = 07/05/2020

o Bank Floating = 2

Se alguém souber responder agradeço.

Flávia

Comments

Post Details

Added on May 6 2020
0 comments
32 views