8.26 Accessing Asset Liability Management, Detail Cash Flow Results for Audit Purposes

Detailed cash flow results for individual account records can be written to an audit table for validation purposes. If you select the Detailed Cash Flows audit option on the ALM Process - Audit Block, the detailed cash flow results are written to the FSI_O_PROCESS_CASH_FLOWS table.

Navigate to Application Preferences and select Maximum Number of Instrument Records to include in Detail Cash Flow Output.