Overview of the Reversal Status Report
This topic contains summary information about the Reversal Status Report.
Overview
The Reversal Status Report lets you view the status of automatic receipt reversals processed for a settlement batch by a run of the Automatic Receipts Reversal process.
Key Insights
This report is generated automatically after a run of the Automatic Receipts Reversal process. You can also run the report manually. The report groups receipts by settlement batch and includes receipt date, receipt number, receipt amount, reversal reason code, and a description of automatic receipt reversals that were unsuccessful.
Report Parameters
The following table lists selected report parameters:
Parameter |
Description |
---|---|
Settlement Batch Reference |
Specify the identifier of the settlement batch for which you want to run the report. |
From Settlement Batch Creation Date and To Settlement Batch Creation Date |
Indicate the settlement batch creation date range for reporting data. |
Receipt Status |
Indicate the receipt status for reporting data. |
Frequently Asked Questions
The following table lists frequently asked questions about the Reversal Status Report.
FAQ |
Answer |
---|---|
How do I find this report? |
Scheduled Processes - Reversal Status Report |
Who uses this report? |
Financial Manager or Financial Specialist when analyzing automatic receipt activity. |
When do I use this report? |
To analyze the automatic receipt reversals and failed receipt reversals in a settlement batch. |
What can I do with this report? |
Schedule as needed. |
What type of reports are these? |
Oracle Analytics Publisher |