[sap-acct] Pmt Program Value date not populating correctly
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| | Posted by MereD (Sr Bus Analyst) on Aug 13 at 2:01 PM |
I have defined in config to have a value date within the bank determination, I have also set a value date rule based on document date plus one day. When I run the payment program the PMW is not populating the Value Date for this format with the correct information per the value date rule. It is rathe populating the value date with the value date within the bank determination.
Does one setting overwrite the other? Do you have to populate all of the values in the value date rule (calendars, account, etc).
__.____._ Does one setting overwrite the other? Do you have to populate all of the values in the value date rule (calendars, account, etc).
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