Verify all changes in the allocation and/or pool are saved before running an allocation.


  1. In Allocation Management, open the pool.
  2. Edit the accounts listed and click Save and Close.
  3. In Allocation Management, open the affected Allocation.
  4. Select the Source/Destination tab and click Refresh from pool.
  5. Click the Distribution and confirm that both the Source and Destination Distributions show the correct accounts.