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Article ID: 130612, created on Apr 11, 2017, last review on Apr 11, 2017

  • Applies to:
  • Business Automation 7.0


There are billing orders which were generated not on the customer's statement day even though all the configuration is done currently - subscription are supposed to be billed on the account's statement day. The affected accounts have statement day set to 31.


The described issue is caused by the bug with id #PBA-79910 ("Two billing orders for subscriptions that belong to customers with statement day 31").


Contact TAM or PTA to get information about the status of the bug #PBA-79910.

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