This is part of our premium features package.
In practice, this is what it looks like:
Steps:
Start in Product Agreements, filtering for your product which is now compliant.
Expand More Actions, to reveal Compliance.
Change to "Yes" and click on "Set"
Note that the compliance status has updated.
Navigate to Statements.
βNote: You may want to add a filter to find all the statements where this product has been found.Go to Statement Items and note that the item is now compliant. It has adopted a new effective date.
Your product is now compliant and will be paid out in the next financial period!