Import bank statements into Cash Management [message #244709] |
Wed, 13 June 2007 19:53 |
russtak
Messages: 4 Registered: June 2007
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Junior Member |
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Hi All,
Created a plsql wrapper which handles the import of bank statements into the CE Open Interface Tables. The wrapper calls fnd_request.submit_request. The concurrent request called is the seeded Oracle 'Bank Statement and AutoRecon' program. Prior to executing this call I execute fnd_global.apps_initiliase. I derive the parameters (user_id,respid,respappid,) via the org_id setup in the profile table for each relevant responsibility. I execute the wrapper concurrent request, no errors, but no records are moved from the interface tables to the normal CE_statement tables. Yet when I call the 'Bank Statement and AutoRecon' from within each responsibility it works perfectly.
Any ideas
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