Title: Message Title
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When handling a refund transaction for a loan product with accounting enabled, whether cash based or accrual based, the necessary journal entries need to be posted.
Implementation Notes ---------------------------- (1) Create a new method in LoanTransactionDTO for active loan refund (2) Add a new condition in CashBasedAccountingProcessorForLoan method createJournalEntriesForLoan when transaction type is refund for active loan. (3) Add a new method createJournalEntriesForRefundForActiveLoan in CashBasedAccountingProcessorForLoan (4) In createJournalEntriesForRefundForActiveLoan handle journal entries appropriately, reverse journal entry postings used in repayment transaction
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