1. Create a Recurring deposit account for a client on 01 January 2015, term is 6 months repaid every two months -> Approve and disburse on same date.
2. Make Deposits on 01 Feb, 01 April, 01 June -> Click on calculate and post interest.
3. Also run the scheduler job "Update Deposit Accounts Maturity details" -> Navigate back to the Recurring deposit account page -> Click on Close button.
4. In Close account page enter valid inputs and in action drop-down select Reinvest as option -> Click on 'Submit' button.
After clicking 'Submit' button , it is throwing 'Null Pointer Exception' Error. Check the attached file.