Common Configuraion       Definition
Manage geography
Accounting Calender
Currency
Chart of account
Value set
COA structure
Segment
Balancing Segment
Segment label
Chart of account Instance
Deploy
Value to Value Set
                             Records transactional balances by using a chart of accounts with a consistent calendar and curren
Primary Ledger               Is
                             Is closely associated
                                an optional ledger with the
                                                   linked tosubledger
                                                             a primary transactions and
                                                                       ledger for the   provides
                                                                                      purpose    context and
                                                                                              of tracking     accounting
                                                                                                          alternative     for the
                                                                                                                      accounting.
Seconday Ledger              Can differ from its primary ledger by using a different accounting method, chart of accounts, acco
Legal Entity              Is an Authorised party which has legal rights to own property,trade,repay debt and pay taxes(rights
Business Unit             Business unit is the unit of an enterprise which can perform one or many business functions. A busin
AP Configuration
Procurement Agent
Reference Data set
Payment term
Document Sequencing      Sequencing the invoices. For Few countries like Italy,france etc the document sequencing is require
Invoice option
Payment option
Distribution Set
Supplier Numbering
Bank
Payment document
Payment profile Option
Prepayment
Whithholding Tax         Withholding tax for particular supplier to send the tax to tax authority
Bills Payable            Payable on maturity
Payalone                 using 1 document to pay for 1 invoice
Foreign currency         creating invoice other than local currency
Interest invoice         If the invoice is not paid within the said perid, the interest will be charged by supplier as per term/co
Recurring invoice
Supplier Mering          Moving all the data of 1 supplier to another supplier
Cross currency           Invoicing in 1 currency and payment in other
Update Matured Bills PayaThe Update Matured Bills Payables Status Report provides information about the Update Matured B
P2P
Facilities Shift          A shift is A shift is a period of time, typically expressed in hours, that is used to build workday patt
Facilities Workday PatternA workday Workday
                                     p           patterns are used to build schedules
Facilities Schedule       A schedule is defined by a start date, an end date, and a sequence of workday patterns to be follow
Item Master (Item organization)
Inventory Organization
TAB (Transaction Accounting builder)
https://www.youtube.com/watch?v=eg6Ij3GixY4
https://www.youtube.com/watch?v=P8wXTXdvcrE
stent calendar and currency, and accounting rules implemented in an accounting method..
xt and
ng     accounting
   alternative     for them.
               accounting.
d, chart of accounts, accounting calendar, currency, or processing options.
debt and pay taxes(rights and responsibilities given by legislation).
 usiness functions. A business unit can process transactions on behalf of many legal entities
ent sequencing is required for the tax purpose
by supplier as per term/contract with supplier
out the Update Matured Bills Payable process, which updates the status of matured bills payables from issued to negotiable.
ed to build workday patterns
day patterns to be followed between those dates
d to negotiable.
FSP                         Functional setup manFor
                                                  Autoimplementation
                                                        update
SAAS                        Software as           cannot install third party applications
PAAS                        Platform  as third party
                              Can install         Only application
                                                     applications   willthe
                                                                  with   be Fusion
                                                                            managed by customer i.e they can do changes
IAAS                Only application
                            infrastruct
                                     will be managed by customer i.e they can do changes
Oracle fusion architecture
Oracle application- GL,AP,AR,Fixed asset,tax,expense,CM,FA,PO,OM…etc
Oracle Middleware-IDM/OIM,APM,
Data base - Oracle DB,ESS DB
IDM                         Identity m             Create user,Assign roles to user,create custom roles
OIM                         Oracle
                              Security
                                   ide consoles from
                                                   Create
                                                       R13user,Assign roles to user,create custom roles
APM                         Authirizat Still R11.D Maintain role templates,custom roles
BPM                         Business process ma Create Approval policy,setup approval rules
UCM                         Universal content m Data import/data export
SOA                         Service oriented arc sUsed to intigrate third party application with Oracle fusion
Oracle fusion Enterprise structure
Enterprise                   Set defaultCannnot create new and only 1 enterpise for 1 instance
Divisions                    Optional
Primary legder
legal entity
Business unit
Inventory organization
FSM(Functional setup manager) - Application implementation consultant
Enable offerings and options
Cretae Implementation project
Select Offerings and options (with features)
System creates task lists (list of setups)
Assign offerings/options/tasks to team members
Update status of tasks
track setup of tasks
Configuration package(move setups to another instance)
Setup -reports
Rapid implementation (RI) - Speadsheet
Offerings:                                      Options              Features
Financials                                      GL
SCM                                             AP
HRMS                                 Financials AR
PPM                                             CM
CRM                                             FA
LDAP                       Lightweight Directory Access Protocol
https://docs.oracle.com/en/cloud/saas/financials/r13-update17d/facsf/implementing-oracle-financials-cloud.html#FACSF
RBAC                       Role Based Access Control
Role Types                 Job Role Abstract RoDuty Role Data Role
mer i.e they can do changes
ith Oracle fusion
                              Example
                                        TATA Enterprise - Default
                                        TCS India
                               Division TCS USA
e-financials-cloud.html#FACSF1221640
Configuations
Configure Packages
Reports: Setup
Implementation User
Create implementation user using security console
Assign roles to implementation user:
Application implementation consultant                 Functional setup manager
IT security manager                                   Security console: user, roles assignment, custom roles
Employee                                              Requests/job
Line manager
HCM Applic Admin - View All
Security console->create user->assign roles to user
"Application implementation consultant, IT
manager,Employee,line manager, HCM appl view
all"
ignment, custom roles
Configuations
Setup and maintenance
offerings->Financials
Change configuration for selection and setup to modification and change
Implementation->create -> Update everything->next>select Financials and the provisions-> Done
Backup
Go to FSM
Manage Package configuration task
Job                                 Map                  Purpose   Comments
                                                        How to take backup of the configuration
FSM                                 Setup and maintenance
Manage Package configuration task   task->Manage Package configuration task
                            Configure                                              Job
                            Implementation user creation                           security console
                            Implementation project creation
COMMON APPLICATION CONFCOMMON APPLICATION CONFIGURATIONS
                       Manage geographies
                       Create accounting calender
                       Create/Enable Currencies
                       Run Create Currency Dimension members                       Run Create Currency
                            Create chart of accounts
                            Create value sets
                            Create chart of accounts structure                     Accounting flexfield->
                            Create segments                                        Accounting flexfield->
                            Assign segment labels to segment                       Accounting flexfield->
                            Create chart of accounts structure and instance        Accounting flexfield->m
                            Deploy Accounting flexfield                            Accounting flexfield->D
                            Create segment values
                            Assign value attributes to segment values
                            Create Primary ledger
                            Specify ledger options
                            Create legal address                                   Manage legal address
                            Create legal entity                                    Manage legal entity
                            Assign legal entity to primary ledger                  Assign legal entity
                            Assign balancing segment values(BSV) to legal entity   Assign balancing segmen
                            Complete primary ledger definition                     Review and submit accounting con
                            Assign GL role to User                                 security console
                   Optional Create data access set                                 Manage data access se
    To check                Provide data access to User                            Manage data access for
  everything is
 working fine till          LDAP                                                   Run User and Role sync
      date                  Open GL Periods
                            Set Profile options                                    Manage administrator p
                            Create Journal and Post
                            Create location for Business Unit                      Manage Location
                            Create Business Unit                                   Manage Business Unit
                            Assign Business Unit Business unit business function   Manage Business Unit Business Fun
                           To Create Employee User
                           Create legislative data Group(LDG)                      Manage Legislative data group
                           Map LDG to LE                                           Manage Legal Entity HCM informati
                           Create employee                                         Manage Users
                  Implementa
                           Assign roles to Employee User                           Security console
                           Provide data access for User                            Manage data access for user
                           Run LDAP                                                Run User and Role syncronization o
AP Configuration             Assign roles to Employee User (procurement agent)        Manage procurement
                   Common SetCreate reference data set (RDS)                      Manage Reference data set
                             Create Payment terms & Assign Payment terms to refereManage Payment terms
                   Edit      Assign Reference data set to Business Set            Manage Business Unit set assignme
                             Configure Common Options for Payables and ProcuremeManage Common Option
                   Business Un
                             Setup Invoice options                                Manage Invoice Option
                   Business Un
                             Setup Payment options                                Manage Payment Options
                   Business Un
                             Create Distribution Sets                             Manage Distribution se
                   Suppier MaAssign Supplier Role to User                         Security Console
                             Specify Supplier Numbering                           Specify Supplier Numb
                             Create Supplier,Address, site, site assignment
                             Create Supplier                                      tasks->Create Supplier
                             Create Bank,Create Bank Branch,Bank Account, documents
                             Create Bank
                             Create Bank Branch
                             Create Bank Account
                             Create documents
                             Create Payment process Profile                           Manage Payment proces
                   Accounts PAssign AP Role to User
                             Data access for User
                             LDAP
                             Open AP Period                                           Task->Payable Periods
                             Administrator profile values                             Manage Administrator profile valu
                              Using Payables/Transaction Processing
                              1.    Standard Invoice Creation                         Task->Create Invoice
                              2.    PO Based Invoice Creation
                   ADFDI(Appl3.    Invoice Creation via Spreadsheet                   Task->Create Invoice i
                              4.    Debit Memo Invoice Creation
                              5.    Credit Memo Invoice Creation
                              6.    Payment Creation Process                          Task->Create Payment
                              7.    Creating Payment Process Request (PPR)
                              8.    Prepayment Invoice Process
                   Configurat Select prepayment in Invoice option                     Manage Invoice Option
                              9.    Withholding Tax Setups & Process
                   Create suppCreate Withhold tax authority as supplier                tasks->Create Supplier
                   Configurat Create Payables Calender                                 Manage Payables Cale
                   Configurat Setup Withholding Tax options                            Manage Whithholding and reportin
                   Configurat Setup Withholding tax code                               Manage tax code
                   Configurat Setup Withholding Tax Classification/Group               Manage Withholding tax Classificati
                   Assign the Assign Withholding tax classification/group to standard stasks->Manage supplie
           10.    Bills Payables Configuration & Process
Configurat Setup Payment Method                                  Manage Payment method
Configurat Provide Bills Payable Account in the Common option fo Manage Common Option
           11.    Pay Alone Configuration & Process              tasks->Manage supplier
           Enable Pay Alone for Supplier
           12.    Foreign Currency Invoice & Payment Configuration & Process
Configurat Configure Common option for payables and procuremenManage Common Options for Paya
Configurat Setup Daily rates                                       Manage Daily rates
Configurat Enable Multicurrency in the Bank Account                Manage Bank Account
           13.    Supplier Merge Process
           Merge Suppliers                                       Supplier Merge
           14.    Interest Invoice Configuration & Process
Configurat Enable Create Interest Invoice in Invoice Option      Manage Invoice Option
           Enable Create Interest Invoice in Supplier Site       Manage Suppliers
Configurat Setup Interest Rate                                   Manage Interest Rate
           15.    Recurring Invoice Configuration & Process
Configurat Create Payables Calender
Create recuCreate Recurring invoices from Speadsheet             Task->Create Invoice
           16.    Third Party Payments Configuration & Process
Configurat Configure Invoice & Payment option                    Manage Invoice Optio
           Create New Supplier
           Create 3rd Party replationship with 2 suppliers
           17.    Cross Currency Payments Configuration & Process
Configurat Setup Daily Rate                                       Manage Daily rates
Configurat Enable Multicurrency in the Bank Account               Manage Bank Account
Configurat Configure the specify ledger option                    Specify ledger options
           18.    Invoice Approval Configuration & Testing
Configurat Go to BPM page                                        Manage Task configurat
           Go to Financial AP approval                           FINAPAPPROVAL
           Create Rule
Configurat 19.    Security Profile Configuration & Testing
           Create Security Profile                               Manage Organization Security Profi
           Assign security profile to Role                       Assign Security Profile
           Assign role to user
           Provide Data access for User
           Run LDAP
           20.    Create Hold & Release Reason
Configurat Manage Invoice Holds and Releases                         Manage Invoice Holds and Release
           21.    Supplier Refund Process
           Create Prepayment invoice                          Task->Create Invoice
           Process payment for prepayment invoice
           create standard invoice
           Apply prepayment for standard invoice
           Create a dummy invoice
           Apply the remaining prepayment amount in the dummy invoice
           Create credit memo
           Make payment for credit memo
           22.    Create Aging Periods & Testing
Configurat Create Aging Periods                                      Manage Aging Period
           Aging report                                              Payable invoice Aging
Configurat 23.    Custom Roles                                       Security Console
           Create Custom Duty Role
Data securiCreate Custom Job Role
           Create new User
           Assign Custom job role to user
           Provide Data acess for user
           Run LDAP
Configurat 24.    File Based Data Import (FBDI) Process - Suppliers Conversion Process
           Download Template from Oracle OER
           Prepare template data
           Convert data templates to CSV format
           Upload the CSV file into UCM(universal content Manage File Import and Export
           Mova data from UCM to Interface Table                      Load Interface File for
           Import data into base tables                               Import Suppliers
Configurat 25.    File Based Data Import (FBDI) Process - Open Invoices Conversion Process
           Download Template from Oracle OER
           Prepare template data
           Convert data templates to CSV format
           Upload the CSV file into UCM(universal content Manage File Import and Export
           Mova data from UCM to Interface Table                     Load Interface File for Import -> Im
           Import data into base tables                              Import Payables Invoices
           26.    Creating Accounting Entries & Transferring to GL   Scheduled process
           Run Create Accounting                                     Create Accounting
                       27.    Payables Period Close Process                 Steps as per PDF
                       28.    Payables to General Ledger Reconciliation
            Configurat Set Value Attribute to AP Control Account            Common option for Payables and P
                       Run Payables to Ledger Reconciliation process        prepare Payables to Ge
                       Payables to Ledger Reconciliation report             Task->Payables to Ledger Reconcili
                      29.    Creating BI Reports
                      30.    Creating OTBI Reports                          Reports and Analytics
                       31. Payment Format
            Configurat create payment file format template                  xmlpserver
            Configurat Create Payment format using the new payment format fiManage Format
                       This is used to update in Bank Account(payment documen
                                                                            Manage Bank Account/Manage Pa
                        32. Invoice Imaging solutions
                        Go to Imaging solution page                         imaging
            In the top lSelect Payable invoice/Expense invoice
                        Search using PO or random search
                        To Import invoice run Import invoices task/job      Import Invoices
P2P Setup
                      Create Inventory Location                              Manage Location
                      Assign Business Unit Business Function for procurement Manage Business unit Business Fun
                        Define Facilities for Procurement
            Shift detai Facilities Shifts                                   Manage Facility Shift
                        Facilities Workday Pattern                          Manage Facilities Workday Pattern
                        Facilities Schedule                                 Manage Facilities schedule
                      Create Item Master Organization                      Manage Item Organization
                      Create Actual Inventory Organization                 Manage Inventory Organization
                      Configure Procurement Business Function              Configure Procurement business Fu
                      Configure Requisitioning Business Function           Configure Procurement business Fu
                      Manage Common Options for Payables and ProcurementManage Common Options for Paya
                      Receiving Parameters                                 Manage Receiving Parameters
                      Procurement Agent                                    Manage Procurement Agent
                      Manage Transaction Account Definition (Accrual Account,Charge Account,Destination Cha
                      Manage Account Rules                                 Manage Account Rules
                      Transaction Account Definition                       Manage Transaction Account Defin
                      Manage Subledger Accounting options                  Manage Subledger Accounting Opti
            Optional. Create Approval Group                                BPM
                      Manage Purchasing document Approval-Rule             Manage Purchasing document App
                      Assign role to user
                      Provide data access for User
                      LDAP
                             Create Subinventory
                             Create Item class
                             Create Item
                             Create Requisition Approval
                             Roles
                             Using
                             Create Purchase order                                 Create Order
                             Approval
Fusion Tax
                             Create Tax Regime                                     Manage Tax Regime
                             Create Tax                                            Manage Taxes
                             Create Tax jurisdictiomn                              Manage Taxes
                             Create Tax Status                                     Manage Taxes
                             Create Tax Rates                                      Manage Taxes
                             Create Configuration Owner Tax option                 Manage Configuration Owner Tax o
                              Manage Geography - check Tax validation is enabled   Manage Geography
                   Location-P Run"Validate Geographies Addresses"                  Validate Geographies
                              Create Location                                      Manage Location
                              Assign the Location to Supplier site assignment      Supplier Site Assignment
                              Enable Tax for Simulator                             Manage Taxes
                              Tax Simulator                                        Manage Tax Sumulator
                              Enable tax for transaction                           Manage Taxes
AR Configuration
                             Receivables System options Configuration              Manage Receivables System option
                             Define Transaction type                               Manage Transaction Type
                             Define Transaction source                             Manage Transaction Source
                             Define AutoAccounting Rules                           Manage AutoAccounting Rules
            MAP                                      Purpose               Comments
            Security console                         Implementation user creation
            FSM                                      Implementation project creation
            Load geographies
            Manage  location
            Search directly from FSM/                Taxation purpose, AddreEnable all for your country
            Define Common     Applications
            Search directly from FSM/      Configuration
                                                     To Create
                                                         for Financials->Define
                                                                accounting calender
                                                                                Enterprise Structures for Financials->Define Financuial r
            Define Common Applications Configuration To Create
                                                         for Financials->Define
                                                                currency      ByEnterprise
                                                                                 default every
                                                                                            Structures
                                                                                                currency
                                                                                                       forisFinancials->Define
                                                                                                             enabled           Financuial r
            Schedule process                                                  This is used to add the new currency in the dimension cub
            Search directly from FSM/
            Define
            Search Common     Applications
                   directly from FSM/ Configuration  Create
                                                         for Financials->Define
                                                              "Company,DepartCompany,Department(costcenter),natural
                                                                                  Enterprise Structures for Financials->Define
                                                                                                                            account,interco
                                                                                                                               chart of acc
            Define
            Search Common     Applications
                   directly from FSM/ Configuration  Actsfor
                                                          asFinancials->Define
                                                              a template       Company,Department(costcenter),natural
                                                                                  Enterprise Structures for Financials->Define
                                                                                                                            account,interco
                                                                                                                               chart of acc
            Define Common
            Search            Applications
                   directly from FSM/ Configuration for Financials->Define     Company,Department(costcenter),natural
                                                                                  Enterprise Structures for Financials->Define
                                                                                                                            account,interco
                                                                                                                               chart of acc
            Define Common     Applications
            Search directly from FSM/      Configuration for  Financials->Define
                                                                               Company,Department(costcenter),natural
                                                                                  Enterprise Structures for Financials->Define
                                                                                                                            account,interco
                                                                                                                               chart of acc
            Define
            Search Common     Applications
                   directly from FSM/ Configuration  NeedfortoFinancials->Define
                                                                use for primary ledger
                                                                                  Enterprise Structures for Financials->Define chart of acc
            Define
            Search Common     Applications
                   directly from FSM/ Configuration for Financials->Define Enterprise Structures for Financials->Define chart of acc
            Define
            Search Common     Applications
                   directly from FSM/ Configuration for Financials->Define Enterprise Structures for Financials->Define chart of acc
            Define Common Applications Configuration for Financials->Define Enterprise Structures for Financials->Define chart of acc
            Search directly from FSM/
            Define Common Applications Configuration
                                                 Create
                                                     for Financials->Define
                                                         primary ledger     ledgers-> Define accouting configurations
            Define Common Applications Configuration for Financials->Define ledgers-> Define accouting configurations
            Define Common Applications Configuration
                                                 Create legal address
            Define Common Applications Configuration for Financials->Define legal entities for Financial
            Define Common Applications Configuration for Financials->Define ledgers-> Define accouting configurations
            Define Common Applications Configuration for Financials->Define ledgers-> Define accouting configurations
d submit accounting configuration
            Define Common Applications Configuration for Financials->Define Users for Financials
            Define Common Applications Configuration for Financials->Define Users for Financials
            Define Common Applications Configuration for Financials->Define syncronization for user and roles
            General Accounting -> Period close
            Define Common Applications Configuration for Financials->Define Users for Financials
            General Accounting -> Journals->Create Journal
usiness Unit Business Function
gislative data group                                 Country specific payroll(To MAP Payroll with LE)
gal Entity HCM information                           MAP Payroll with LE      Manage element(element criteria) if there is any issue
ta access for user
nd Role syncronization or Retrieve latest LDAP changes/retrieve LDAP
            Define common options for payables an To create supplier        Only select function
eference data set
 yment terms
usiness Unit set assignment                         To update payment term for particular BU
             Define invoicing and payments configurations->Define payables->Define Common Opt
             Define general payables options
 yment Options
             Define invoicing and payments configuraDistribution set automatically creates account
                                                    To have access to relevent task
             Define Invoicing and payment configuratthe next supplier we are going to create will
                                                                            Business Relationship:Prospective-Cannot be used for PO/
            Navigator->Procurement tab->Suppliers                           Spend Authorized(able to create Invoice/PO)
            Define Disbursement
            Payables->Invoice
dministrator profile values                         To make default data in the fields
            Payables->Invoices
            Payables->Invoices
            Payables->Payments
            Define general payables options         Updating Show available prepayments during invoice entry under payment
            Navigator->Procurement tab->Suppliers
            Define invoicing and payments configur Special Calender
hithholding and reporting options
ithholding tax Classifications
            Navigator->Procurement tab->Suppliers
 yment method
          Define invoicing and payments configurations->Define payables->Define Common Options for Payables and Procurement
nage supplier                                        1 cheque can only be used for 1 invoice
ommon Options for Payables and Procurement
 nk Account
             Navigator->Procurement tab->Suppliers
voice Option
            Navigator->Procurement tab->Suppliers
                                                     Special Calender
             Payables->Invoices
             Define general payables options
 nk Account
                                                     ""Entered Currency Balancing Account" in this task needs to be updated and shou
             Notification->More details->Administration->Task configuration
                                                                              1 is 1 (to provide default for all)
 ganization Security Profile
voice Holds and Releases
              Payables->Invoices
              Scheduled Process
                                                                          7.Import Supplier Products and Services Categories
                                                  Used for data import fro8.Import Supplier Attachments
              Navigator->File Import and Export
              Scheduled Process
              Scheduled Process
ion Process                                       Used for data import from other applications/large data
             Navigator->File Import and Export
ace File for Import -> Import Payables Invoices
ables Invoices
              Scheduled Process
                                                                        1. Copy Liability Account from the common option for Pay
 ption for Payables and Procurement/Chart of accounts value set         2. Open Chart of account value set - natural Account: Set F
             Scheduled Process
 bles to Ledger Reconciliation report             the balance should match
                                                                          Disbursement payment file format
 nk Account/Manage Payment process profile
                                                                          4. Supplier/client sends scanned images to the email ID an
                                                                          5. Go to invoice and run import invoices to import all the s
            Navigator->Payables->Invoices->task>Import invoices
usiness unit Business Functions                    To enable to do the procurement related setup's and to perform business function
                                                                          Workday calender in EBS
 cilities Workday Pattern
 cilities schedule                                 Used while Creating Inventory Organization
em Organization
 ventory Organization
Procurement business Function
Procurement business Function
ommon Options for Payables and Procurement
eceiving Parameters
 ocurement Agent
Account,Destination Charge,Destination Varience, varience)
             Define Transaction Accounting for proc To provide Account rule and account combinations for the transaction account de
 ansaction Account Definition
 bledger Accounting Options                         To select Transaction Accounting definition
urchasing document Approval
            Navigation->Purchasing->Task->create Order
onfiguration Owner Tax option
            Schedule Process
te Assignment
 x Sumulator
eceivables System options
 ansaction Type
 ansaction Source
utoAccounting Rules
rency in the dimension cube
er),natural account,intercompany
er),natural account,intercompany
er),natural account,intercompany
er),natural account,intercompany
ncials->Define chart of accounts->Manage chart of accounts structur
ncials->Define chart of accounts->Manage chart of accounts value sets values
ncials->Define chart of accounts->Manage chart of accounts value sets values
nfigurations
nfigurations
nfigurations
ria) if there is any issue
          ADFDI(Application Developm
          Configuration
          Create supplier as Tax Autho
          Configuration
          Configuration
          Configuration
          Configuration
          Assign the new withholding t
          Configuration
          Configuration
ntry under payment
ayables and Procurement
ds to be updated and should run create accounting again
Services Categories
he common option for Payables and Procurement
set - natural Account: Set Financial category as Accounts Payable for the Liability Account
d images to the email ID and the system processes and creates Image invoice file
 invoices to import all the scanned images to the AP
o perform business function
the transaction account definition
           Using Modules
unts->Manage chart of accounts structur
unts->Manage chart of accounts value sets values
unts->Manage chart of accounts value sets values
Using Payables/Transaction Processing
1.    Standard Invoice Creation
2.    PO Based Invoice Creation
3.    Invoice Creation via Spreadsheet
4.    Debit Memo Invoice Creation
5.    Credit Memo Invoice Creation
6.    Payment Creation Process
7.    Creating Payment Process Request (PPR)
8.    Prepayment Invoice Process
Select prepayment in Invoice option
9.    Withholding Tax Setups & Process
Create Withhold tax authority as supplier
Create Payables Calender
Setup Withholding Tax options
Setup Withholding tax code
Setup Withholding Tax Classification/Group
Assign Withholding tax classification/group to standard supplier supplier
10.    Bills Payables Configuration & Process
Setup Payment Method
Provide Bills Payable Account in the Common option for Payables and Procurement
11.    Pay Alone Configuration & Process
12.    Foreign Currency Invoice & Payment Configuration & Process
13.    Supplier Merge Process
14.    Interest Invoice Configuration & Process
15.    Recurring Invoice Configuration & Process
16.    Third Party Payments Configuration & Process
17.    Cross Currency Payments Configuration & Process
run create accounting again
bles and Procurement
nancial category as Accounts Payable for the Liability Account
 the system processes and creates Image invoice file
anned images to the AP
Job   MAP   Purpose   Comments
Task->Create Invoice   Payables->Invoices
Task->Create Invoice in Payables->Invoices
Task->Create Payment   Payables->Payments
Manage Invoice Options Define general payablesUpdating Show available prepayments during invoice entry under payme
tasks->Create Supplier Navigator->Procurement tab->Suppliers
Manage Payables Calend Define invoicing and payments configurations->Define payables->Define Common Options for Pa
Manage Whithholding and reporting options
Manage Withholding tax code
Manage Withholding tax Classifications
tasks->Manage supplier Navigator->Procurement tab->Suppliers
Manage Payment method
Manage Common OptionsDefine invoicing and payments configurations->Define payables->Define Common Options for Pa
ring invoice entry under payment
Define Common Options for Payables and Procurement
Define Common Options for Payables and Procurement
Configuations                Map        Comments
Legal Entities
legal reporting structures                                                               Enable all
ledgers
business units                                                                           By default
                                                                                         COA
                                                                                         Validation
                                                                                         COA struct
Implementing Enterprise Structures: Procedure
Manage geographies.                     #Perform th                                      Primary ba
Create chart of accounts, ledger, legal Perform the                                      is a copy f
Upload the chart of accounts.           Perform the
Upload the ledger, legal entities, and bPerform the
Create cross-validation rules.          Perform the
                                                              As per Vid OPTIONAL
Implementing Cash Management: Proc                                                       chart of ac
Create banks, branches, and accounts Pi erform the                                       Segments wh
Upload banks, branches, and accountsPerform th                                           Legal Addre
                                                                                         Enable Payr
                                                              As per Vid OPTIONAL        If there is
Implementing Tax: Procedure You can also use the individual Tax Regimes andChief Finan Subscriptions spreadsh
                                                                            Tax Regime
Manage tax regimes.                    For SaaS (Oracle Cloud) implementations, run the   Optional
                                                                                             Import Tax Configuration Content
                                                                           To   check
Run jurisdiction and rates upload prog You can also use the individual Taxes spreadsheet to create taxes for a tax regime or
                                                                         everything is
Manage taxes.                                                            working
                                       You can also use the individual Tax          fine Rate Accounts, Tax Recovery Rates, an
                                                                           Rates, Tax
                                                                            till date
Manage tax rates and tax recovery rateYou can also use the individual Tax Rules    spreadsheet to create tax rules details.
Manage tax rules.                      Use the Tax Implementation Workbook to upload      To your
                                                                                              Set defa
                                                                                                   organization-specific tax regi
Manage tax registrations.
Manage tax exemptions.                 Perform the
Manage simulator transactions.         Perform the                                        Location s
                                                                                          Default se
                                                              As per Vid OPTIONAL
                                                                                         Implementa
Optional.
Configuations                                    Job                          Map
Enterprise                                                                  Load geographies
Manage geographies                               Manage geographies         Manage  location
                                                                            Search directly from FSM/
Create accounting calender                       Manage accounting calender Define Common     Applications
                                                                            Search directly from FSM/ Configuration fo
Create/Enable Currencies                         Manage currencies          Define Common Applications Configuration fo
Run Create Currency Dimension members            Run Create Currency Dimens Schedule process
Create chart of accounts                                                     Search directly from FSM/
Create value sets                              Manage chart of accounts valDefine
                                                                             Search Common     Applications
                                                                                    directly from FSM/ Configuration fo
Create chart of accounts structure             Accounting flexfield->manageDefine
                                                                             Search directly from FSM/ Configuration fo
                                                                                    Common     Applications
Create segments                                Accounting flexfield->manageDefine
                                                                             Search Common     Applications
                                                                                    directly from FSM/ Configuration fo
Assign segment labels to segment               Accounting flexfield->manageDefine
                                                                             Search Common     Applications
                                                                                    directly from FSM/ Configuration fo
Create chart of accounts structure and instanc Accounting flexfield->manageSearch
                                                                             Define Common     Applications
                                                                                    directly from FSM/ Configuration fo
Deploy Accounting flexfield                    Accounting flexfield->Deploy fDefine
                                                                             Search directly from FSM/ Configuration fo
                                                                                    Common     Applications
Create segment values                          Manage chart of accounts valu Define
                                                                             Search Common     Applications
                                                                                    directly from FSM/ Configuration fo
Assign value attributes to segment values      Manage chart of accounts valu Define Common Applications Configuration fo
Define Date Hierarchy
                                                                          Search directly from FSM/
Create Primary ledger                         Manage primary ledger       Define Common Applications Configuration fo
Specify ledger options                        Specify ledger options      Define Common Applications Configuration fo
Create legal address                          Manage legal address        Define Common Applications
Create legal entity                           Manage legal entity         Define Common Applications
Assign legal entity to primary ledger         Assign legal entity         Define Common Applications Configuration fo
Assign balancing segment values(BSV) to legal Assign balancing segment value
                                                                          Define Common Applications Configuration fo
Complete primary ledger definition            Review and submit accounting configuration
Assign GL role to User                           security console
Create data access set                           Manage data access set      Define Common Applications Configuration fo
Provide data access to User                      Manage data access for user Define Common Applications Configuration fo
LDAP                                             Run User and Role syncronizatDefine Common Applications Configuration fo
Open GL Periods                                                              General Accounting -> Period close
Set Profile options                              Manage administrator profileDefine Common Applications Configuration fo
Create Journal and Post                                                      General Accounting -> Journals->Create Journa
Create location for Business Unit                Manage Location             Define Common Applications Configuration fo
Create Business Unit                             Manage Business Unit
Assign Business Unit Business unit business fu   Manage Business Unit Business Function
Define Service provider Relationship             Manage Service provider Relationship
To Create Employee User
Create legislative data Group(LDG)               Manage Legislative data group
Map LDG to LE                                    Manage Legal Entity HCM information
Create employee                                  Manage Users/New person
Assign roles to Employee User                    Security console
Provide data access for User                     Manage data access for user
Run LDAP                                         Run User and Role syncronization or Retrieve latest LDAP changes/retrieve L
Manage Enterprise HCM information
            Purpose                          Comments
            Taxation purpose, Address defin Enable all for your country
            To Create accounting calender
            To Create currency              By default every currency is enabled
                                            This is used to add the new currency in the dimension cube
 from FSM/                                   Assets,Liability,Owners Equity,Net Income
n Applications Configuration for Financials->Define
                                             Company,Department(costcenter),natural
                                                    Enterprise Structures for Financials->Define
                                                                                         account,intercompany
                                                                                                 chart of accounts->Manage chart of ac
 from FSM/   Acts as a template              Company,Department(costcenter),natural      account,subaccount,product
nfrom
   Applications
      FSM/ Configuration for Financials->Define
                                             Company,Department(costcenter),natural
                                                    Enterprise Structures for Financials->Define
                                                                                         account,subaccount,product
                                                                                                 chart of accounts->Manage chart of ac
n Applications Configuration for Financials->Define
                                             Company,Department(costcenter),natural
                                                    Enterprise Structures for Financials->Define
                                                                                         account,subaccount,product
                                                                                                 chart of accounts->Manage chart of ac
 from FSM/ Need to use for primary ledger
nfrom
   Applications
      FSM/ Configuration for Financials->Define Enterprise Structures for Financials->Define chart of accounts->Manage chart of ac
nfrom
   Applications
      FSM/ Configuration for Financials->Define Enterprise Structures for Financials->Define chart of accounts->Manage chart of ac
n Applications Configuration for Financials->Define Enterprise Structures for Financials->Define chart of accounts->Manage chart of ac
            Create primary ledger
n Applications Configuration for Financials->Define ledgers-> Define accouting configurations
            Create legal address
            Create legal entity
n Applications Configuration for Financials->Define ledgers-> Define accouting configurations
n Applications Configuration for Financials->Define ledgers-> Define accouting configurations
n Applications Configuration for Financials->Define Users for Financials
n Applications Configuration for Financials->Define Users for Financials
n Applications Configuration for Financials->Define syncronization for user and roles
nting -> Period close
n Applications Configuration for Financials->Define Users for Financials
nting -> Journals->Create Journal
n Applications Configuration for Financials->Define Enterprise Structures for Financials
            Which Function the BU will perform
                                            Can be used for Procurement,Payment as wells as for collections (i.e service provided by 1
            Country specific payroll(To MAP Payroll with LE)
            MAP Payroll with LE             Manage element(element criteria) if there is any issue
e latest LDAP changes/retrieve LDAP
for the enterprise definition
unts->Manage chart of accounts structur
unts->Manage chart of accounts value sets values
unts->Manage chart of accounts value sets values
s (i.e service provided by 1 BU to another BU)
Configuations                                                            AP Roles
                                                                         Accounts Payable Manager
Create implementation user                                               Accounts Payable Specialist
Create implementation project with financials provision                  Accounts Payable Supervisor
Implementation
Configure Enterprise Structures, Gener                                             As per video
Practice 5-1: Reviewing Shared Components
Practice 5-2: Using the Rapid Implementation Spreadsheet
Practice 5-3: Uploading the Chart of Accounts File
Practice 5-4: Deploying the Accounting Flexfield Demonstration
Practice 5-5: Inputting Account Combinations
Practice 5-6: Uploading the Financials Common Entities File
Practice 5-7: Completing the Ledger Configurations
Practice 5-8: Viewing Your Legal Entity
Practice 6-1: Viewing Your Business Unit
Practice 6-2: Viewing the Assigned Business Unit Functions
Practice 6-3: Creating a Reference Data Set
Practice 6-3: Creating a Reference Data Set
Practice 6-4: Managing Your Business Unit Set Assignment
Practice 6-5: Managing Data Access for Your User
Configuring Payables and Payments
Practice 7-1: Defining Your User as a Procurement Agent
                                                                                             To check
Practice 7-2: Creating a Payment Term                                                        everythin
Practice 7-3: Managing Common Options for Payables and Procurement                               g is
Practice 7-4: Managing Invoice Options                                                        working
                                                                                              fine till
Practice 7-5: Managing Payment Options                                                          date
Practice 7-6: Managing Distribution Sets
Practice 12-1: Creating Banks, Branches, and Accounts
Practice 12-2: Creating a Payment Document for a Bank Account
Practice 12-3: Creating a Disbursement Payment File Format
Practice 12-4: Creating the Transmission Configuration
Practice 12-5: Creating a Payment System
Practice 12-6: Creating a Payment Method
Practice 12-7: Creating a Payment Process Profile
Practice 12-8: Submitting a Payment Process Request
Configuring Tax and Subledger Accounting for Payables
Practice 8-1: Viewing a Calculated Tax on a Payables Transaction Demonstration
Practice 8-2: Creating a US Sales Tax Using the Tax Configuration Workbook
Practice 8-3: Creating a VAT Tax Using the Tax Configuration Workbook (Optional)
Practice 8-4: Using the Tax Simulator to Test a Payables Transaction
Practice 8-5: Enabling Your Tax for Transactions
Practice 11-1: Creating Three Account Rules
Practice 11-2: Creating a Description Rule
Practice 11-3: Creating Two Journal Line Rules
Practice 11-4: Creating a Journal Entry Rule Set
Practice 11-5: Duplicating and Modifying an Accounting Method
Practice 11-6: Submitting Create Accounting in Draft and Viewing the Subledger Journal in Payables
Practice 11-7: Submitting Create Accounting in Final/Post
Processing Payables Invoices Overview
Practice 9-1: Creating a Supplier
Practice 10-1: Opening General Ledger and Payables Periods
Practice 10-2: Creating a Manual Invoice
Practice 10-3: Creating an Invoice in a Spreadsheet
Configuring Cash Management for Payables
Practice 13-1: Managing Bank Statement Transaction Codes
Practice 13-2: Managing Bank Statement Transaction Creation Rules
Practice 13-3: Managing Bank Statement Reconciliation Tolerance
Practice 13-4: Managing Bank Statement Reconciliation Matching Rules
Practice 13-5: Managing Bank Statement Reconciliation Rule Sets
Practice 13-6: Assigning a Rule Set to a Bank Account
Practice 13-7: Performing a Bank Statement Reconciliation with Auto reconciliation
Reporting for Payables, Payments, and Subledger Accounting
Using
Introducing Payables
Practice 3-1: Viewing a Business Unit Business Function Demonstration
Practice 3-2: Opening General Ledger and Payables Periods Demonstration
Processing Payables Invoices and Payments
Practice 4-1: Defining Your User as a Procurement Agent
Practice 4-2: Managing Data Access for Your User
Practice 4-3: Creating a Supplier
Practice 5-1: Managing Distribution Sets
Practice 5-2: Creating Manual Invoices
Practice 5-3: Creating an Invoice in a Spreadsheet
Practice 5-4: Creating Recurring Invoices in a Spreadsheet
Practice 5-5: Creating an Invoice Matched to a Purchase Order
Practice 5-6: Creating a Credit Memo
Practice 6-1: Creating Banks, Branches, and Bank Accounts
Practice 6-2: Setting Up Supplier Bank Accounts
Practice 6-3: Processing a Single Payment from the Manage Invoices Page
Practice 6-4: Creating a Single Payment from the Create Payment Page
Practice 6-5: Defining a Payment Process Request Template
Practice 6-6: Submitting a Payment Process Request
Practice 6-7: Creating and Applying a Prepayment
Performing Payables Period Close and Reporting
Practice 7-1: Submitting Create Accounting in Final/Post Demonstration
Practice 7-2: Running a Payables Invoice Register Report
Practice 7-3: Closing a Payables Period Demonstration
Practice 7-4: Submitting the Prepare Payables to General Ledger Reconciliation
Practice 7-5: Running the Payables to Ledger Reconciliation Report
Configuring Withholding Tax
Practice A-1: Creating a Withholding Tax Calendar
Practice A-2: Creating a Withholding Tax Code and Tax Classification Code
Practice A-3: Attaching a Withholding Tax Classification Code to Your Supplier
Practice A-4: Creating a Withholding Tax Invoice
                                                                                 Optional
                                                                                 Optional
                           Configuations                                 Job
                           Create employee                               Manage User/new Person
Business Unit specific     Assign roles to Employee User (procurement ag Manage procurement agent
Common Set and Enterprise Create
                          se     reference data set (RDS)                Manage Reference data set
                          Create Payment terms & Assign Payment terms M  t anage Payment terms
Edit                      Assign Reference data set to Business Set(PaymManage Business Unit set assignment
                          Configure Common Options for Payables and P Manage Common Options for Pa
                          Enable Sequencing for the respective countries Specify Ledger option
         Optional         Specify the document sequence name and dataManage Document sequencing / Manage Paya
Business Unit specific    Setup Invoice options                          Manage Invoice Options
                          Setup Payment options                          Manage Payment Options
Business Unit specific    Create Distribution Sets                       Manage Distribution sets
Suppier Manager, Buyer    Assign Supplier Role to User                   Security Console
                          Specify Supplier Numbering                     Specify Supplier Numbering
                          Create Supplier,Address, site, site assignment
                          Create Supplier                                tasks->Create Supplier
                          Create Bank,Create Bank Branch,Bank Account, documents
                          Create Bank                                    Manage Bank
                          Create Bank Branch                             Create Branch from Manage Ba
                          Create Bank Account                            Manage Bank Account
                          Create documents                               Manage Bank Account
                           Create Payment process Profile                Manage Payment process Profile
Accounts Payable Manager,Ac
                         Assign AP Role to User
                         Data access for User
                         LDAP
                         Open AP Period                                  Task->Payable Periods->Manage
                          Administrator profile value                    Manage Administrator profile value
                          Using Payables/Transaction Processing
                          1.    Standard Invoice Creation                Task->Create Invoice
                          2.    PO Based Invoice Creation
ADFDI(Application Developm3.    Invoice Creation via Spreadsheet         Task->Create Invoice in Spreads
                          4.    Debit Memo Invoice Creation
                          5.    Credit Memo Invoice Creation
                          6.    Payment Creation Process                 Task->Create Payment
                          7.    Creating Payment Process Request (PPR)
                           8.    Prepayment Invoice Process
Configuration              Select prepayment in Invoice option           Manage Invoice Options
                           9.    Withholding Tax Setups & Process
Create supplier as Tax AuthoCreate Withhold tax authority as supplier        tasks->Create Supplier
Configuration               Create Payables Calender                         Manage Payables Calender
Configuration               Setup Withholding Tax options                    Manage Withholding and reporting options
Configuration               Setup Withholding tax code                       Manage tax code
Configuration               Setup Withholding Tax Classification/Group       Manage Withholding tax Classifications
Assign the new withholding ta
                            Assign Withholding tax classification/group to s tasks->Manage supplier
                            10.    Bills Payables Configuration & Process
Configuration               Setup Payment Method                          Manage Payment method
Configuration               Provide Bills Payable Account in the Common oManage Common Options for Pa
                            11.    Pay Alone Configuration & Process           tasks->Manage supplier
                            Enable Pay Alone for Supplier
                            12.    Foreign Currency Invoice & Payment Configuration & Process
Configuration               Configure Common option for payables and pr Manage Common Options for Payables and Pr
Configuration               Setup Daily rates                              Manage Daily rates
Configuration               Enable Multicurrency in the Bank Account       Manage Bank Account
                            13.    Supplier Merge Process
                            Merge Suppliers                                    Supplier Merge
                            14.    Interest Invoice Configuration & Process
Configuration               Enable Create Interest Invoice in Invoice Optio Manage Invoice Option
                            Enable Create Interest Invoice in Supplier Site Manage Suppliers
Configuration               Setup Interest Rate                             Manage Interest Rate
                            15.    Recurring Invoice Configuration & Process
Configuration               Create Payables Calender
Create recurring invoices   Create Recurring invoices from Speadsheet          Task->Create Invoice
                            16.    Third Party Payments Configuration & Process
Configuration               Configure Invoice & Payment option                 Manage Invoice Options & Mana
                            Create New Supplier
                            Create 3rd Party replationship with 2 suppliers Manage suppier->site->invoicing
                            17.    Cross Currency Payments Configuration & Process
Configuration               Setup Daily Rate                               Manage Daily rates
Configuration               Enable Multicurrency in the Bank Account           Manage Bank Account
Configuration               Configure the specify ledger option                Specify ledger options
                            18.    Invoice Approval Configuration & Testing
Configuration               Go to BPM page                                  Manage Task configuration for Fi
                            Go to Financial AP approval                     FINAPAPPROVAL
                            Create Rule
Configuration                19.    Security Profile Configuration & Testing
                             Create Security Profile                           Manage Organization Security Profile
                             Assign security profile to Role                   Assign Security Profile
                             Assign role to user
                             Provide Data access for User
                             Run LDAP
                             20.    Create Hold & Release Reason
Configuration                Manage Invoice Holds and Releases                 Manage Invoice Holds and Releases
                             21.    Supplier Refund Process
                             Create Prepayment invoice                   Task->Create Invoice
                             Process payment for prepayment invoice
                             create standard invoice
                             Apply prepayment for standard invoice
                             Create a dummy invoice
                             Apply the remaining prepayment amount in the dummy invoice
                             Create credit memo
                             Make payment for credit memo
                             22.    Create Aging Periods & Testing
Configuration                Create Aging Periods                              Manage Aging Period
                             Aging report                                      Payable invoice Aging report
Configuration                 23.    Custom Roles                              Security Console
                              Create Custom Duty Role
Data security Profile-Data setCreate Custom Job Role
                              Create new User
                              Assign Custom job role to user
                              Provide Data acess for user
                              Run LDAP
Configuration                24.    File Based Data Import (FBDI) Process - Suppliers Conversion Process
                             Download Template from Oracle OER
                             Prepare template data
                             Convert data templates to CSV format
                             Upload the CSV file into UCM(universal conten File Import and Export
                             Mova data from UCM to Interface Table            Load Interface File for Import ->
                             Import data into base tables                     Import Suppliers
Configuration                25.    File Based Data Import (FBDI) Process - Open Invoices Conversion Process
                             Download Template from Oracle OER
                       Prepare template data
                       Convert data templates to CSV format
                       Upload the CSV file into UCM(universal conten File Import and Export
                       Mova data from UCM to Interface Table         Load Interface File for Import -> Import Payab
                       Import data into base tables                  Import Payables Invoices
                       26.    Creating Accounting Entries & TransferringScheduled
                                                                         to GL    process
                       Run Create Accounting                            Create Accounting
                       27.    Payables Period Close Process             Steps as per PDF
                       28.    Payables to General Ledger Reconciliation
Configuration          Set Value Attribute to AP Control Account     Common option for Payables and Procuremen
                       Run Payables to Ledger Reconciliation process prepare Payables to General Led
                       Payables to Ledger Reconciliation report      Task->Payables to Ledger Reconciliation repor
                       29.    Creating BI Reports
                       30.    Creating OTBI Reports                    Reports and Analytics
                       31. Payment Format
Configuration          create payment file format template           xmlpserver
Configuration          Create Payment format using the new payment Manage
                                                                     f       Format
                       This is used to update in Bank Account(paymentManage Bank Account/Manage Payment proc
                       32. Invoice Imaging solutions
                       Go to Imaging solution page                    imaging
In the top left side   Select Payable invoice/Expense invoice
                       Search using PO or random search
                       To Import invoice run Import invoices task/job Import Invoices
                       Electronic Payments
                       1. Setup Disbursement File Format
Configuration          create payment file format template         xmlpserver
Configuration          Create Payment format using the new payment Manage
                                                                   f       Format
Configuration          2. Define Transmission Configuration            Manage Transmission Configuration
Configuration          3. Define Payment System                        Manage Payment System
Configuration   4. Define Payment process profile for electroni Manage Payment process profile
            Map                       Purpose                              Comments
            Define common options foTo create supplier site                Only select function which is required for the procurement
                                                                           Assign the predefined role to implementation user and pro
it set assignment                     To update payment term for particular BU
             Define invoicing and payments configurations->Define payables->Define Common Options for Payables and Procurement
                                      the invoice wll have sequence numbers
                                                                          Automatic,Gapless,Manual
equencing / Manage Payables DocumTo populate sequence category
             Define general payables options
            Define invoicing and paymDistribution set automatically creates accounting distribution for the invoices that are not match
                                     To have access to relevent task
                                     the next supplier we are going to create will have the specified Supplier Number
                                                                           Business Relationship:Prospective-Cannot be used for PO/i
            Navigator->Procurement tab->Suppliers                          Spend Authorized(able to create Invoice/PO)
            Setup bank,Branches, and Accounts
            Setup bank,Branches, and Accounts
            Setup bank,Branches, and Accounts
            Setup bank,Branches, and Accounts
            Define Disbursement
            Payables->Invoice
or profile value                      To make default data in the fields
            Payables->Invoices
            Payables->Invoices
            Payables->Payments
            Define general payables oUpdating Show available prepayments during invoice entry under payment
            Navigator->Procurement tab->Suppliers
            Define invoicing and pay Special Calender
g and reporting options
g tax Classifications
              Navigator->Procurement tab->Suppliers
            Define invoicing and payments configurations->Define payabl Run "Update Matured Bills Payable Status" on Maturity
                                      1 cheque can only be used for 1 invoice
ptions for Payables and Procurement
            Navigator->Procurement tab->Suppliers
            Navigator->Procurement tab->Suppliers
                                      Special Calender
            Payables->Invoices
            Define general payables options
e->invoicing
                                      ""Entered Currency Balancing Account" in this task needs to be updated and should run create a
            Notification->More details->Administration->Task configuration
                                                                           1 is 1 (to provide default for all)
n Security Profile
ds and Releases
            Payables->Invoices
            Scheduled Process
                                                                         Basic Informations->Function Security Policies->Data Secur
                                                                          7.Import Supplier Products and Services Categories
                                     Used for data import from other appli8.Import Supplier Attachments
            Navigator->File Import and Export
            Scheduled Process
            Scheduled Process
                                     Used for data import from other applications/large data
             Navigator->File Import and Export
or Import -> Import Payables Invoices
            Scheduled Process
                                                                  1. Copy Liability Account from the
                                                                  common option for Payables and
                                                                  Procurement
                                                                  2. Open Chart of account value set -
                                                                  natural Account: Set Financial category as
                                                                  Accounts Payable for the Liability
Payables and Procurement/Chart of accounts value set              Account
           Scheduled Process
dger Reconciliation report         the balance should match
                                                                  Disbursement payment file format
nt/Manage Payment process profile
                                                                  4. Supplier/client sends scanned images to the email ID an
                                                                  5. Go to invoice and run import invoices to import all the s
            Navigator->Payables->Invoices->task>Import invoices
n Configuration
ocess profile
equired for the procurement agent
mplementation user and provide data access to BU and reference data set
Payables and Procurement
 invoices that are not matched in the PO.(Spreadsheet entry of invoices)
lier Number
tive-Cannot be used for PO/invoice creation process(can be used for negociation/bidding/Sourcing Module)
te Invoice/PO)
 able Status" on Maturity
                                              Create Payables Calender
                                              9.    Withholding Tax Setups & Process
                                              15.    Recurring Invoice Configuration & Process
                                              Payment terms
ated and should run create accounting again
 ecurity Policies->Data Securty Policies->Role Hierarchy->Segrigate duty roles->User-> Summarize and impact report
d Services Categories
ed images to the email ID and the system processes and creates Image invoice file
 t invoices to import all the scanned images to the AP
P2P (Procure to Pay Cycle)                                            Roles
                                                                      Procurement Manager
Inventory and Purchasing Configuration                                Procurement Preparer
                                                                      Advanced Procurement Request
1.    Create Inventory Location                                Done   Buyer
2.    Assign Business Unit Business Function for Procurement   Done
3.    Create Facility Shifts                                   Done   Inventory Manager
4.    Create Facility Workday Pattern                          Done   Warehouse Manager
5.    Create Facility Schedules                                Done   Warehouse Operator
6.    Create Item Master Organization                          Done
7.    Create Actual Inventory Organization                     Done
8.    Create Subinventory
9.    Configure Procurement Business Function                  Done
10.    Configure Requisitioning Business Function              Done
11.    Manage Common Options for Payables and Procurement      Done
12.    Setup Receiving Parameters                              Done
13.    Create Procurement Agent                                Done
14.    Create Account Rule for Accrual Account                 Done
15.    Create Account Rule for Charge Account                  Done
16.    Create Account Rule for Variance Account                Done
17.    Create Account Rule for Destination Charge              Done
18.    Create Account Rule for Destination Variance            Done
19.    Setup Transaction Account Definition                    Done
20.    Configure Subledger Accounting Options                  Done
21.    Setup Approvals for Requisition 
22.    Setup Approvals for Purchase Orders                     Done
23.    Assign PO Roles to User                                 Done
24.    Provide Data Access for User                            Done
25.    Run LDAP Job                                            Done
26.    Create Item Class
27.    Assign Inventory Roles to User
28.    Provide Data Access for User
29.    Run LDAP Job
30.    Create Items
31.    Assign Item to Inventory Organization
32.    Create Supplier & Site
Transaction Process (P2P)
1.    Create Requisition, Approve
2.    AutoCreate Purchase Order, Approve
3.    Create Receipt
4.    Perform Delivery
5.    Check OnHand Qty
6.    Create Invoice in AP by matching
7.    Process Payment
                      Configuations                      Job                            Map       Purpose
ent Manager           Oracle Purchasing Configuration
ent Preparer
 Procurement RequestCreate Inventory Location          Manage Location
                    Assign Business Unit Business Func Manage Business unit Business Functions To enable to do the procurement
                        Define Facilities for Procurement
            Shift detai Facilities Shifts                 Manage Facility Shift
se Operator             Facilities Workday Pattern        Manage Facilities Workday Pattern
                        Facilities Schedule               Manage Facilities schedule              Used while Creating Inventory Or
                     Create Item Master Organization Manage Item Organization
                     Create Actual Inventory OrganizatioManage Inventory Organization
                     Configure Procurement Business FuConfigure Procurement business Function
                     Configure Requisitioning Business F Configure Procurement business Function
                     Manage Common Options for PayabManage Common Options for Payables and Procurement
                     Receiving Parameters                Manage Receiving Parameters
                     Procurement Agent                   Manage Procurement Agent
                     Manage Transaction Account Definition (Accrual Account,Charge Account,Destination Charge,Destination Var
                     Manage Account Rules                Manage Account Rules         Define Tra To provide Account rule and acco
                     Transaction Account Definition      Manage Transaction Account Definition
                     Manage Subledger Accounting opti Manage Subledger Accounting Options        To select Transaction Accounting
           Optional. Create Approval Group               BPM
                     Manage Purchasing document Appro    Manage Purchasing document Approval
           ProcuremenAssign role to user
           ProcuremenProvide data access for User
                     LDAP
                     Create Subinventory                 Manage Subinventories and locators
                     Create Item class                   Manage Item Classes
           Inventory Assign role to user
                     Provide data access for User
                     LDAP
                     Create Item                         Product information ManagemenProduct Management->Product information
                     Create Requisition Approval         Manage Requisition Approvals
                      Using
                      Create Purchase order              Create Order                   Navigation->Purchasing->Task->create Orde
                      Approval
            Comments
  To enable to do the procurement related setup's and to perform business function
            Workday calender in EBS
  Used while Creating Inventory Organization
nd Procurement
estination Charge,Destination Varience, varience)
 To provide Account rule and account combinations for the transaction account definition
  To select Transaction Accounting definition
Management->Product information Management->Create Item
n->Purchasing->Task->create Order
Configuations                                                    Roles
                                                                 Accounts Receivable Manager
Create implementation user                                       Accounts Receivable Specialist
Create implementation project with financials provision          Billing Manager
                                                                 Billing Specialist
                                                                 Revenue Manager
Enterprise Structure and Ledgers Overview                        Revenue Analyst
Reviewing shared components
Rapid implementation/manual
Uploading chart of accounts file
Deploying the accounting flexfield
Uploading the financials common entities file
Completing ledger configuration
Viewing legal entity
Viewing BU
Viewing the assigned business unit functions
creating reference data set
Managing BU set assignment
Managinng data access for user
Configuring Oracle Fusion Receivables
Reviewing receivables system options                      Done
Reviewing Autoaccounting rules                            Done
Reviewing Remit-to address                                Done
Reviewing Receivables activities                          Done
Reviewing Statement cycle                                 Done
Define Transaction type                                   Done
Define transaction source                                 Done
Creating bank,branches and bank accounts                  Done
Creating a reciept class and receipt method               Done
creating receipt source                                   Done
Configuring Oracle Fusion Tax
creating US sales tax using tax configuration workbook
creating a VAT tax using tax configuration workbook
Using tax simulator to test recievables transaction
enable tax for calculation
Subledger
Creating three accounting rules
Creating description rule
Creating two journal line rule
Creating journal entry rule set
Duplicating and modifying accounting method
Processing Receivables Transactions and Receipts Overview
Defining customer profile class                               Done
creating customer                                             Done
Entering Transactions and Payments Overview
Opening GL and AR period                                      Done
creating manual invoice                                       Done
creating receipt                                              Done
submitting create accounting in draft
submitting create accounting in Final/Post
Configuring Oracle Fusion Cash Management
Managing bank statement transaction code
Managing bank statement transaction creation rules
Managing bank statement reconciliaton matching rule
Managing bank statement reconciliaton tolarence rule
Managing bank statement reconciliaton rule set
Assigning a rule set to bank account
performing bank statement reconciliation with Autoreconciliation
Configuring Oracle Fusion Advanced Collections
Getting started with advanced collections
setting preferences and correspondence
Creating ageing method
creating a collector                                          Done
Reviewing Dunning template
Creating strategy task
Creating strategy
Using
Introducing Receivables
Practice 3-1: Viewing a Business Unit Business Function
Practice 3-2: Opening General Ledger and Receivables Periods Demonstration
Processing Receivables Transactions and Receipts
Practice 4-1: Defining a Customer Profile Class.              Done
Practice 4-2: Creating a Customer                                 Done
Practice 4-3: Merging Duplicate Customers Demonstration
Practice 5-1: Creating a Manual Invoice                           Done
Practice 5-2: Creating a Balance Forward Billing Cycle and Paym   Done
Practice 5-3: Creating a Balance Forward Bill                     Done
Practice 5-4: Creating a Recurring Bill Plan
Practice 5-5: Creating a Credit Memo                              Done
Practice 6-1: Creating Banks, Branches, and Bank Accounts         Done
Practice 6-2: Creating a Receipt Class and Receipt Method         Done
Practice 6-3: Creating a Receipt                                  Done
Practice 6-4: Creating a Manual Refund
Practice 7-1: Creating an Invoice Using an Invoicing Rule
Performing Receivables Period Close and Reporting
Practice 8-1: Submitting Create Accounting in Final/Post Demonstration
Practice 8-2: Running the Applied Receipts Register Report
Practice 8-3: Setting a Receivables Period to Close Pending Demonstration
Practice 8-4: Submitting the Prepare Receivables to General Ledger Reconciliation
Practice 8-5: Running the Receivables to Ledger Reconciliation Report
                                               Configuations                                 Job
Receivable Manager
Receivable Specialist                          Receivables System options Configuration      Manage Receivables System options
                                               Define Transaction type                       Manage Transaction Type
                                               Define Transaction source                     Manage Transaction Source
                                               Define AutoAccounting Rules                   Manage AutoAccounting Rules
                                                Define Receivables Payment Terms              Manage Receivables Payment Terms
                                                Define Statement Cycles                       Manage Statement Cycles
                                                Define Collectors                             Manage Collectors
                                                Define Customer Profile Classes               Manage Customer Profile Classes
                        Account address set-EntCreate Customer                                Create Customer
                                                Create Customer Site/Address                  Create Customer
                        To header and site levelAssign Customer profile class                 Manage Customer
                                                Define Reference data set for Customer Site Manage Reference data set
                                                Assign Reference data set to Business Unit(CusManage Business Unit Set assignments
                        Create Remit-to-AddressDefine Remit-to-Address                        Manage Remit-to-Addresses
                                                Define Standard Memo Lines                    Manage Standard Memo Lines
                                                Define Receivables
                        Earned and unearned discount                Activities
                                                       for receipt method   required.         Manage Receivables Activities
                        Create Remittance BankDefine
                                                 Account
                                                       a receipt class and receipt method     Manage Receipt classes and method
                                                Define receipt sources                        Manage Receipt sources
                        Accounts Receivables Ma Assign AR roles to User                       Security Console
                                               Provide data access for user                  Data access for Users
                                               LDAP
                                               Open AR period
                                               Using Receivables/Transaction Processing
                                               1.    Invoice Transaction Creation         Create Transaction
                                               2.    Credit Memo Transaction Creation
                                               Manual Credit Memo Transaction Creation    Create Transaction / Apply
                                               Automatic Credit Memo Transaction Creation Credit Transaction
                                               3.    Debit Memo Transaction Creation
                                               4.    Transaction with Memo Lines
                                               5.    Chargeback Setups & Transaction Creation
                        Configuration          Receivables Activities for chargeback          Manage Receivables Activities / Creat
                                               6.    Standard Receipt Creation                 Create Receipt
                                               7. On Account receipt                           Create Receipt->Action->Create onacco
                                               7.    Misc. Receipt Setups & Process
                        Configuration          Receivables Activities for Miscelleneous receiptManage Receivables Activities
                                               8.    Receipt/Batch Creation in Spreadsheet & Process
                                                                                              Task-> Create receipts from
                                               9.    Standard Receipt Reversal
                                               10.    Debit Memo Receipt Reversal
                11.    Reciprocal Customers Configuration & Process
Configuration   Enable Reciprocal Customers at Receivables sy Manage Receivables System options
                Assign Reference Data Set to BU (Customer AccManage Business Unit Set Assignments
                Create Reciprocal relationship               Manage Customer->Relationship
                12.    Cross Currency Receipts Configuration & Process
Configuration   Enable Multi-currency Account at Bank AccounManage Bank Account
                Define Daily Rates                             Manage Daily rates
                13.    Receipt Write-Off Configuration & Process
Configuration   Set Receipt Write-Off limit at Receivables syst Manage Receivables System options
                Define Write-off Limit for User                 Manage Approval Limits
                Create Receivables Activity for Receipt write-ofManage Receivables Activities / Create R
                14.    Customer Refund Configuration & Process
Configuration   Set Minimum refund amount at Receivables syManage Receivables System options
                Set Approval limit for user                Manage Approval Limits
                Create Receivables Activity for Refund     Manage Receivables Activities / Create R
                15.    Aging Methods/Buckets & Testing
Configuration   Define Aging Method                           Manage Aging Methods
                Run Aging report                              Collections Aging 4 Buckets
                16.    Revenue Reorganization Configuration & Process
Configuration   Setup AutoAccounting Rule                     Manage AutoAccounting Rules
                Create Revenue Schedules(Accounting Rules) Manage Revenue Scheduling Rules
                Run Recognize Revenue Process                 Run "Recognize Revenue"
                17.    Create Automatic Receipts
Configuration   Create Automatic Receipt Classes & Method Manage Receipt classes and method
                Assign Receipt class and method to customer and create customer bank account
                Create Automatic Receipt Source              Manage Receipt sources
                Add BU to Internal Payee List                Manage Internal Payee List
                18.    Balance Forward Billing Configuration & Process
Configuration   Create Balance Forward Billing Cycle            Manage Balance Forward Billing Cycle
                Create Balance Forward Billing Payment term/AManage Receivables Payment terms
                Create Balance Forward Billing Customer ProfileManage Customer Profile Classes
                Run the Balance Forward Billing process after tCreate Balance Forward Bill
                19.    Reviewing Customer Account Details
                Submitting Customer Account details           Process Receivables Transa
                Refreshing Customer Account details           Refresh Receivables Transa
                20.    File Based Data Import (FBDI) Process - Customers Conversion Process
                21.    File Based Data Import (FBDI) Process - AutoInvoice Conversion Process
Configuration   Complete Receivables Activity                    Manage Receivables Activity
                Transaction source-Imported                      Manage Transaction Source
                Define Receivables Descriptive Flexfield         Manage Receivables Descriptive Flexfi
                22.    Create Accounting Entries & Transfer to GL 
                                                                Create Accounting
                23.    Receivables Period Close Process
                24.    Receivables to General Ledger Reconciliation
                Assign Financial category for AR                Chart of accounts value set value
                Run Receivables to Ledger Reconciliation proceprepare Receivables to Gene
                Receivables to Ledger Reconciliation report    Task->Receivables to Ledger Reconcilia
                25. Bills Receivables
Configuration   Enable Bills Receivables in the Receivables sys Manage Receivables system options
                Enter Bills Receivables Account in the ReceivablManage Receivables Activities
                Define Bills Receivables in AutoAccounting rule
                Define Receipt Class and method for Bills ReceiManage Receipt Classes and Method
                Assign Customer Drawee in Customer Site
                Create Customer Bank Account
Optional        Create Debit Authorization
                Define Receipt Class and method for Bills Receivables Remittance
                LockBox
Configuration   Manage LockBox                               Manage LockBox
Configuration   Define Receipt class and Method              Manage Receipt class and Method
Configuration   Define Remittance Bank Account               Manage Bank Account
Configuration   Define Receipt Source                        Manage Receipt Source
Configuration   Define LockBox Transmission Format           Manage LockBox Transmission Format
                Assign Lockbox Transmission format in Process receipt through Lockbox:import program
             Map       Purpose    Comments
ables System options
ction Source
 counting Rules
ables Payment Terms
                       Statement for customers
mer Profile Classes
nce data set
ss Unit Set assignments
to-Addresses
rd Memo Lines          Is used when the item is not from Inventory
ables Activities
t classes and method
                       Used in Batch receipting process
             Billing->Create Transaction
             Billing->Create Transaction / Receivables->Accounts Receivables
             Billing->Credit Transaction
ables Activities / Creat When the cutomer pays partial amount and asks to move the due date for the remaining amount
            Receivables->Accounts Receivables
 >Action->Create onaccoLike Prepayment
ables Activities
             Receivables->Accounts Receivables
                          Like Third Party payment
ables System options
ss Unit Set Assignments
mer->Relationship
ables System options
ables Activities / Create Receipt->Action-> Create Write-off
ables System options
ables Activities / Create Receipt->Action-> Create Refund
            Schedulled Process
                          To Distribute revenue across periods
 counting Rules
ue Scheduling Rules
            Schedulled processes
t classes and method
mer bank account
                          Consolidated Billing
e Forward Billing Cycle
ables Payment terms
mer Profile Classes
            Schedulled Processes
            Schedulled Processes
            Schedulled Processes
rsion Process
ersion Process
ables Activity
ction Source
ables Descriptive Flexfi Line Transactions->RA_INTERFACE_LINES
            Schedulled Processes
ts value set value                 Open Chart of account value set - natural Account: Set Financial category as Accounts Payable for the
             Scheduled Process
es to Ledger Reconciliathe balance should match
ables system options
ables Activities
t Classes and Method
t class and Method
x Transmission Format
 Lockbox:import program
Accounts Payable for the Liability Account
Configuations
Configuring Oracle Fusion Advanced Collections
Getting started with advanced collections
setting preferences and correspondence
Creating ageing method
creating a collector
Reviewing Dunning template
Creating strategy task
Creating strategy
Configuations                            Job                    Map Purpose
Setting Preferences and Correspondence   Manage Collections PreferenceGlobal Preference(What n
Define Aging Method                      Manage Aging Method
Define Collector                         Manage Collectors
Define Dunning Letter                    Manage Dunning Configurations
Define Strategy tasks                    Manage Strategy Task
Define Strategy                          Manage Collections Strategies
          Comments
Global Preference(What needs to see in collections work area), Preference set() , Correspondence
          Aged & Staged
                                                                   Configuations
O2C (Order to Cash Cycle)                  Order manager
                                           Pricing Manager
Order Management Configuration             Pricing Analyst         Manage Receivables System Options
                                           Pricing Administrator
1.    Setup Order Management Parameters                            Manage Order Management Parameters
2.    Create Release Sequence Rules                                Manage Release Sequence Rules
3.    Create Pick Slip Grouping Rules                              Manage Pick Slip Grouping Rules
4.    Define Ship Confirm Rules                                    Manage Ship Confirm Rules
5.    Create Picking Rules                                         Manage Picking Rules
6.    Set Picking Rule Assignments                                 Manage Picking Rule Assignments
7.    Create Pick Wave Release Rules                               Manage Pick Wave Release Rules
8.    Create Staging Sub Inventory                                 Manage Subinventory and Locator
9.    Configure Shipping Parameters                                Manage Shipping Parameters
10.    Create Collector
11.    Create Payment Terms
12.    Create Statement Cycles
13.    Create Customer Profile Class
14.    Create Reference Data Set for Customer Site
15.    Assign Reference Data Set to BU
16.    Create Customer & Addresses (Site)
17.    Setup Customer Account Description
18.    Assign OM Roles to User
19.    Assign Pricing Roles to User
20.    Provide Data Access for User
21.    Run LDAP Job
22.    Create Price List                                           Manage Price List
23.    Create Pricing Segment (Standard Lookups)                   Manage Standard Lookups
24.    Create Pricing Strategy for Price List                      Manage Price Strategy
25.    Create Customer Pricing Profile
26.    Create Pricing Segments
27.    Define Pricing Strategy Assignment
28.    Create Carriers (Shipping Methods)
29.    Create Transaction Types
Planning Source System
Run Collect Planning Data
31.    Create Sourcing Rules
32.    Setup Sourcing Assignment Set
33.    Set Default Profile Option for Set                          Manage Administrator Profile values
34.    Create ATP Rules                                            Manage ATP Rules
35.    Refresh data in OM
36.    Complete AR Configuration
37.    AutoAccounting - All Type of Accounts
38.    Open AR Periods
Transaction Process (O2C)
1.    Create Sales Order
2.    Validate Sales Order
3.    Book Sales Order (Submit)
4.    Pick Release
5.    Confirm Pick Release
6.    Confirm Shipping (Ship Confirmation)
7.    System Interfaces SO Information to AutoInvoice Interface
8.    Import Sales Order Information into AR as AutoInvoice
9.    Create Receipt, Apply on Transaction
Job   Map       Purpose    Comments
                Assign the inventory Organization
      Item Validation Organization: Values
      Pricing Administration
      Pricing Administration
      Pricing Administration
      Pricing Administration
      Pricing Administration
      Supply Chain Planning
      Supply Chain Planning
      Supply Chain Planning
      Supply Chain Planning
      MSP_DEFAULT_ASSIGNMENT_SET
      Supply Chain Planning
Configuations
                                                                                Cash Manager
Configuring Cash Management for Payables
Practice 13-1: Managing Bank Statement Transaction Codes
Practice 13-2: Managing Bank Statement Transaction Creation Rules
Practice 13-3: Managing Bank Statement Reconciliation Tolerance
Practice 13-4: Managing Bank Statement Reconciliation Matching Rules
Practice 13-5: Managing Bank Statement Reconciliation Rule Sets
Practice 13-6: Assigning a Rule Set to a Bank Account
Practice 13-7: Performing a Bank Statement Reconciliation with Auto reconciliation
                                                                                         Configuration
Configuring Oracle Fusion Cash Management
Managing bank statement transaction code
Managing bank statement transaction creation rules
Managing bank statement reconciliaton matching rule                                      Configuration
Managing bank statement reconciliaton tolarence rule
Managing bank statement reconciliaton rule set
Assigning a rule set to bank account
performing bank statement reconciliation with Autoreconciliation
Tasks:
Processing Electronic Bank Statement
Reporting the Bank Account balances
Record first Presentment items like Bank charges,fees to the GL
Reconcile the bank statement to payments paid and received
Define Parse Rule sets to transform data during import process
Supports Following protocols:
BAI02                    Bank Administration Institute
Swift MT 940             Society for wordwide Interbank Financial Telecommunication
EDIFACT FINSTA           Electronic Data Interchange for Administration, commerce, Transportation and Financial Statem
ISO20022                 International Standard Organization
Import non-standard bank statement formats via spearsheet
Reports:
Cash to General ledger Reconciliation Report
Bank Statement report
Cash in Transit report
Bank statement analysis report
Configuations                                    Job       Map        Purpose
Managing bank statement transaction code         Manage bank statemen
                                                                   To create Bank transaction code to create Bank sta
Using
Create Bank Statement - Manual
Reconciliation
Automatic Reconciliation
Define Bank Reconciliation Matching Rule         Manage Bank Reconciliation Matching Rule
Define Bank Reconciliation Rule Set              Manage Bank Reconciliation Rule Set
Assign the Rule Set to the Bank Account
External Cash transaction - Manual
External Cash transaction - Automatic
Define Bank Transaction creation matching rule   Manage Bank Transaction creation matching rule
Define Bank Transaction Mapping type             Manage Bank Transaction Mapping type
Assign to the Bank Account
Key Setups for Bank Statement Processing
Cash Transaction Type Mapping for Payables, Receivables and Payroll
Transaction code
                                                          CE_INTER
                                                          NAL_BAL
                                                          ANCE_CO
                                                          DES
                                                          CE_balan
                                                          ce_code
                                                          CE_Trx_C
           Code Map Groups                                ode      lookups
           Bank Statement Formats
           Parse Rule Sets
           Transaction Creation Rules
           Bank Statement Reconciliation Setups
           Tolerance Rule
           Bank Statement Reconcilation Matching Rule
           Bank statement Reconcilation Rule Set
ation and Financial Statement of Account
           Additional Setups
           Manage Payment Method
           Configure Payment Method Defaulting rule for Cash Transaction
           Comments
k transaction code to create Bank statement
matching rule
           Mapping Cash
           Management
           Transaction Types to:
           Payables Payment
           Methods
           Receivables Receipt
           Method
           Payroll Payment types
           Used in:
           Parsing Rule Sets
           Bank Statement
           Transaction Creation
           Rules
           Bank Statements
Types:
Balance-Opening and
closing book balances
Transaction-used on
bank statement lines
Configuations                                                     Roles
                                                                  Asset Accountant
Configuring Assets
Practice 5-1: Reviewing Assets Key Flexfields Demonstration
Practice 5-2: Creating a New Category and a New Location
Practice 5-3: Defining Values for Asset Clearing and CIP Clearing Accounts
Practice 5-4: Reviewing Asset System Control Options Demonstration
Practice 5-5: Managing Fiscal Years
Practice 5-6: Managing Asset Calendars
Practice 5-7: Managing Prorate Conventions
Practice 5-8: Managing Fixed Assets Lookups
Practice 6-2: Managing Asset Categories
Managing the Asset Lifecycle
Practice 7-1: Adding an Asset Directly into your Asset Book                  Optional
Practice 7-3: Processing Payables Invoice Lines for Mass Asset Additions
Practice 7-4: Merging Invoice Lines for Mass Additions
Practice 7-5: Splitting Invoice Lines for Mass Additions
Practice 7-6: Adding Invoice Lines to an Existing Asset
Practice 7-7: Adding a CIP Asset as a Shell and Adding Cost to a CIP Asset   Asset Accountan
Practice 7-8: Capitalizing a CIP Asset
Practice 8-1: Performing a Category Change on an Asset
Practice 8-2: Adjusting Asset Units
Practice 8-3: Adjusting Asset Cost
Practice 8-4: Transferring an Asset
Practice 8bPhysical Inventory
Practice 9-Depreciating Assets
Retiring Assets
Practice 12-1: Creating a Tax Book                                           Create Invoice an
Practice 12-2: Managing Asset Categories for Your Tax Book                   Create Invoice an
Practice 12-4: Performing the Initial Mass Copy                              Create Invoice an
                                                                             Configuration
Accounting and Reporting on Assets
Practice 11-1: Submitting the Create Accounting Process
Practice 11-2: Performing Online Inquiry                                     Configuration
Practice 11-3: Submitting the Asset Additions Report
Configuration
Optional
Asset Bookwise
Configuations                            Job                           Map        Purpose    Comments
Oracle Fusion Fixed Asset Setup
Create Value Sets for category KFF      Manage Fixed Assets Flexfield value Sets             Same as Chart of Accounts Va
Create Value Sets for Locations KFF     Manage Fixed Assets Flexfield value Sets             Same as Chart of Accounts Va
Create Value Sets for Asset Key KFF     Manage Fixed Assets Flexfield value Sets             Same as Chart of Accounts Va
Create Category KFF Structure           Manage Fixed Assets Key Flexfields                   Category Flexfield
Create Location KFF Structure           Manage Fixed Assets Key Flexfields                   Location Flexfield
Create Asset Key KFF Structure          Manage Fixed Assets Key Flexfields                   Asset Key
Create Category KFF Structure Instance Manage Fixed Assets Key Flexfields
Create Location KFF Structure Instance Manage Fixed Assets Key Flexfields
Create Asset Key KFF Structure Instance Manage Fixed Assets Key Flexfields
Create Segment Values for the 3 KFF     Manage Fixed Assets Flexfield value Sets
Create System Controls                  Manage System Control                                This is a one time activities in
Create Fiscal Year Calender             Manage Fiscal Years
Create Asset Calender/Depreciation Cale Manage Asset Calender                                Same data as accounting calen
Define Prorate Convension                Manage Prorate Convension
Define Prorate Calender                  Manage Asset Calender
Create Asset Book / Corporate book       Manage Asset Books
Create Tax book                          Manage Tax book
Create Asset Category                    Manage Asset Category
Assign FA Role                           Security Role
Provide data access for user             Manage Data access for users
LDAP
Using Fixed Asset Processing
1.    Manual Additions                   Add Assets                     Navigator->Fixed Assets-> Assets
2.    Asset Creation using Spreadsheet/ADFdi
                                         Add Assets in Spreadsheet / PNavigator->Fixed AsseAdfdi required
3.    Mass Additions                     Create Mass Addition           Navigator-> AP -> Inv Create in Payables and post in
4.    Merge Asset Lines                  Create Mass Addition / MergeNavigator-> AP -> Inv Create in Payables and post in
5.    Split Asset Lines                  Create Mass Addition / Spilt i Navigator-> AP -> Inv Create in Payables and post in
6.    CIP Asset & CIP Capitalization
Provide CIP Accounts in Asset Category Manage Asset Category / AddNavigator->Fixed
                                                                        A                Assets-> Assets
7.    Reclassification
Crreate another asset category           Manage Asset Category
Adjust Asset                             Adjust Asset                  Navigator->Fixed Assets-> Assets
8.    Run Depreciation (Draft/Final)
How to Calculate Depreciation            Calculate Depreciation / Manage All Books
                                         Journal Entry Reserve Ledger Schedulled Process
9.    Mass Copy
Create Tax Book                          Manage Tax book
Assign Category to tax book              Manage Asset Category
Assign tax Book to user                  Data Access for Users
Copy All the assets into the Tax books   Manage All books            Navigator->For Specific period
Copy All the assets into the Tax books   Perform Initial Mass Copy   SchedulledFor all Period
10.    What-if Analysis                   Perform Whatif Analysis    Navigator->To check the depreciation details
11.    Rollback Depreciation                                         Navigator->Do Anychang
                                                                                          Only in Depreciation in Draft M
12.    Asset Retirement                   Retire Assets              Navigator->Fixed Assets-> Assets
13.    Asset Reinstatements               Reinstate Assets           Navigator->Fixed Assets-> Assets
14.    File Based Data Import (FBDI) Process - Assets                                     Fixed Asset mass Additions, Fi
15.    Create Accounting Entries & TransferCreate
                                             to GL Accounting        Navigator->Fixed Assets-> Assets
16.    Assets Period Close Process
 Comments
 Same as Chart of Accounts Value Sets
 Same as Chart of Accounts Value Sets
 Same as Chart of Accounts Value Sets
 Category Flexfield
 Location Flexfield
 This is a one time activities in an instance
 Same data as accounting calender
sets-> Assets
  Adfdi required
  Create in Payables and post in FA
  Create in Payables and post in FA
  Create in Payables and post in FA
sets-> Assets
sets-> Assets
the depreciation details
  Only in Depreciation in Draft Mode
sets-> Assets
sets-> Assets
  Fixed Asset mass Additions, Fixed Asset mass Adjustment, Fixed Asset mass Retirement, Fixed Asset mass Transfers
sets-> Assets
Configuations
Create implementation user
Create implementation project with financials provision
Create user(employee)
Enterprice structure
Reviewing shared components
Rapid implementation/manual process
Uploading chart of accounts file
Verifying deployment was successful
Uploading ledger,ledger entity and BU file
Reviewing an existing legal jurisdiction
Reviewing legal address for legal entity and reporting unit
Creating legal authority
searching legal entity
viewing legal reporting unit
Configuring General Ledger Components
Searching value sets
searching chart of accounts structure and instance
Deploying chart of accounts
creating accountshorthand alias
entering values
searching and completing your accounts hierarchy
publishing accounts hierarchy
creating accounts combination
define cross validation rules
verying calender
Creating currencies
creating conversion rate type
entering daily rates
entering currency conversion journal
creating journal approval rules
creating suspense account
creating statistical unit of measure
creating special journal source
creating accounting sequence
creating processing schedule
Configuring Ledgers and Intercompany
searching ledger
verifying ledger options
verifying legal entities and balance segments assignment
defining reporing currency
completing ledger configuration
creating ledger set
Reviewing data access set security
Creating data access set security
Setting new rule demonstration
Viewing intrcompany balance rules and secondary and clearing company balance options
creating intercompany batch
submitting and reviewing reconciliation report
Configuring Period Close Components
Opeing first accounitng period
creating revaluation
Configuring Financial Reporting
Viewing accounts analysis report from the financial reporting center
creating a report:defining a grid
creating a report:Adding formula to total expense
creating a report:defining a rolling 12-period column
creating a report:defining the grid and user point of view dimensions
creating a report:setting properties
creating a report:adding a logo and title
reviewing a report
setting up the general accounting expense infolet for all users
viewing an account group from the financial reporting center
Introducing Budgets and Consolidations
creating chart of accounts mapping
submitting the transfer ledger balance process
uploading budget using spreadsheet
creating smart view as hoc analysis
Using
Configuring the Key General Ledger Components
Practice 4-1: Reviewing Shared Components
Practice 4-2: Searching for a Legal Entity
Practice 4-3: Entering Values
Practice 4-4: Defining Cross-Validation Rules
Practice 4-5: Creating an Account Combination
Practice 4-6: Creating an Account Shorthand Alias
Practice 5-1: Creating a Calendar
Practice 5-2: Creating a Primary Ledger
Practice 5-3: Specifying Ledger Options
Practice 5-4: Defining Reporting Currencies
Practice 5-5: Completing the Ledger Configuration
Practice 5-6: Creating a Ledger Set
Practice 5-7: Reviewing Data Access Set Security
Practice 5-8: Opening the First Accounting Period
Practice 11-1: Creating a Suspense Account
Practice 11-2 Creating a Statistical Unit of Measure
Practice 11-3: Creating a Processing Schedule
Performing GL Period Close and Reporting
Practice 9-1 Creating and Generating an Allocation Rule
Practice 9-2 Defining and Running a Revaluation
Practice 9-3 Creating a Translation
Practice 10-1 Using the New Financial Reporting Center
Practice 10-2 Creating a Report: Defining a Grid
Practice 10-3 Creating a Report: Adding a Formula for Total Expenses
Practice 10-4 Creating a Report: Defining a Rolling 12-Period Column
Practice 10-5 Creating a Report: Defining the Grid and User Point of View Dimensions
Practice 10-6 Creating a Report: Setting Properties
Practice 10-7 Creating a Report: Adding a Logo and Title
Practice 10-8 Reviewing a Report
Practice 10-9 Setting Up the General Accounting Expense Infolet Demonstration
Practice 10-10 Viewing an Account Group From the Financial Reporting Center Demonstration
Practice 12-1 Creating a Chart of Accounts Mapping
Practice 12-2 Submitting the Transfer Ledger Balances Process
Managing Journal Entries, Budgeting, and Account Inquiries
Practice 6-1 Creating a Journal Source and Category
Practice 6-2 Entering and Posting a Manual Journal
Practice 6-3 Reverse a Journal Manually
Practice 6-4 Entering and Posting a Journal in a Spreadsheet
Practice 6-5 Using the Account Monitor
Practice 6-6 Using the Account Inspector
Practice 7-1 Creating a Currency
Practice 7-2 Creating Conversion Rate Types
Practice 7-3 Entering Daily Rates
Practice 7-4 Entering and Reviewing a Foreign Currency Journal
Practice 8-1 Creating Intercompany Transactions with Invoice Generation
Practice 8-2 Running the Reconciliation Report
Practice 8-3 Creating Intercompany Transactions Using a Spreadsheet
Practice 13-1 Uploading a Budget Using a Spreadsheet
Practice 13-2 Creating a Smart View Ad Hoc Analysis
Ledgers
Primary Ledger
Translation
GL Roles                                      Configuations
Chief Financial officer
Controller
General Accountant
General Accounting                           Enable Sequencing for the respective countri
Financial Analyst                  Sequence aTo create sequencing for GL and Reporting
                          Optional           To check whether changes are reflecting for
                                              Define Cross Validation Rules & Deploy Flexfi
                                              Security Rules
                          As per Vid OPTIONAL Define Shorthand Alias
                          As per Vid OPTIONAL Define Account combination
                                              Using Fixed Asset Processing
                                               1. Understanding Role Based Dashboards
                                               2.    Create Journals & Post
                                               3.    Journal Approval Configuration & Testing
                                    Configurat Create Approval Group
                                               Create Approval Rule
                                               Enable Journal Approvals at Ledger
                                               Enable Journal Approvals at Sources
                                              4.    Create Journals in ADFdi
                                              5.    Loading Journals from FBDI Templates
                                              6.    Foreign Currency Journals Setups & Process
                                              7.    Reverse Journals Setups & Process
                                   Configurat 8.    Data Access Set Setups & Process
                          Optional Configurat 9.    Security Rules Setups & Process
                          Optional Configurat 10.    Cross-Validation Rules Setups & Process
                                   Configurat 11.    Create Ledger Set Setups & Process
                                              12.    Create Reporting Ledger/Reporting Currency Setups & Process
                                   Configurat Creating Reporting Ledger Currency
                                              Open Periods in Reporting Ledger
                                              Set Daily Rates
           13.    Create Secondary Ledger Setups & Process
Configurat Create COA for Secondary Ledger
           Create Secondary Ledger
           Specify Ledger Options
           Map Primary and Secondary COA
           Create Mapping between Primary and second
           Open Secondary Ledger Period
           14.    Auto Posting Setups & Process
Configurat Define Autopost Criteria
           15.    Auto Reversal Setups & Process
Configurat Define Journal Reversal Criteria
           Enable Journal reversal for Ledger
           16.    Revaluation Setups & Process
Configurat Define Daily Rate
           17.    Translation Setups & Process
Configurat Define Rates for Period-End,Period Average,H
           Set Default Rate Type for Ledger, Provide C
           Add Translation Currency to Ledger
           Run Translation
           18.    Consolidation Setups & Process
Configurat Create Consolidation Ledger
           Specify Ledger Options
           Map Subsidiary and Consolidation COA's
           Transfer Balances from Subsidiary and Conso
          19.    Generating Reports from Financial Reporting Studio (FRS)
          20.    Generating Reports from Smart View
           21.    Account Inspector 
           23.    Account Monitor
           24.    GL Period Close Process
           25. Budget
Configurat Create Accounting calender for Budget
           Define Budgetary Controls
           Create Budget
           Roles to User
           Data Access for User
Disable Manage reporting currencies
                     Manage Daily rates
                    26. Journal Source & Category
Optional Configurat Create Journal Source
                    Create Journal Category
                     27. Create Suspense Accounts
          Configurat Create Suspense Accounts
                     28. Creating a Statistical Unit of Measure
          Configurat Creating a Statistical Unit of Measure
                     29. Creating a Processing Schedule
          Configurat Creating a Processing Schedule
                     Run General Ledger Account Detail Report
                     Account Monitor
                     Account Inspector
                     Intercompany
                     1. Setting Up a New Rule
          Configurat Setup Balancing Rule
          Configurat 2. Review Secondary and Clearing Company b
          Configurat Define Allocation Rule
                     Intercompany Transaction setups
                     Define Intercompany System Options
                     Define Intercompany transaction type
                     Define Intercompany Period Status
                     Define Intercompany Organization
                     Define Invoicing Options
                     Define Transaction Account Rule
                     Define Intercompany Balancing Rules
Main Record Keeping ledger
Used to translate ledger currency to another currency. Difference is posted to Cumulative adjustment account
            Job                              Map                 Purpose
            Specify Ledger option
            Manage accounting and reporting sequences
            Daily Journals Report/Journal LedScheduled Process
            Manage Cross-Validation Rules / Chart of accounts S Cross-validation (also known as cross-segment validation) controls th
            Manage Chart of Account Value Sets                   balance segment securi
            Manage Shorthand Alias
            Manage Account Combination
on & Testing
            Specify Ledger Options
            Manage Journal Sources
            Create Journals in Spreadsheet
tups & Process
            Manage Data Access Set                              To give Read Only/Read and Write access
            Manage Chart of Account Value Sets                  balance segment securi
            Manage Cross-Validation Rules / Chart of accounts S Cross-validation (also known as cross-segment validation) controls th
            Manage Ledger Set                                   To create 1 ledger set for multiple ledgers(Same COA,Accounting cale
eporting Currency Setups & Process
            Manage Reporting Currencies
            Manage Daily rates
etups & Process
            Manage Chart of account structure
            Manage Secondary Ledger
            Specify Ledger Options
            Manage Chart of Accounts Mapping
            Complete Primary to Secondary Ledger Mapping
           Manage Autopost Criteria Set
           Manage Journal Reversal Criteria Set
           Specify Ledger Options
           Manage Daily Rates
           Manage Currency Rate Types                      Define Rates for Period
           Specify Ledger Options
           Manage Reporting Currencies
           Manage Primary Ledger
           Specify Ledger Options
           Manage Chart of Accounts mapping
           Transfer Ledger Balances      Schedulled Processes
nancial Reporting Studio (FRS)
           Manage Accounting Calender                      Calender for Budget on
           Manage Budgetary Control
           Manage Control Budgets
           Manage reporting currencies                     For journal
Manage Daily rates                                For journal
Manage Journal Source
Manage Journal Category
Manage Suspense Accounts
Manage Statistical Unit of Measure
Manage Processing Schedule
General Ledger Account Detail ReSchedulled Processes
General Accouting Dashboard
Period close-> Inquire and analyse balances
Manage Intercompany balancing Rules
Manage Secondary and Clearing Company balancing Options
Calculation Manager
tive adjustment account
            Comments
            Journal Entry Type: Subledger, Sequencing Event: Period Close
ation (also known as cross-segment validation) controls the combinations of values you can create when you enter values for key flexfi
            Create Security Rules.Assign the Security Rule to Roles.Deploy Accounting Flecfield.Create User and assign the roles to use
            Journals Import
            Daily Rate is Mandatory to update
d Only/Read and Write access
             Create Security Rules.Assign the Security Rule to Roles.Deploy Accounting Flecfield.Create User and assign the roles to use
ation (also known as cross-segment validation) controls the combinations of values you can create when you enter values for key flexfi
 ledger set for multiple ledgers(Same COA,Accounting calender)
            Currency conversion level-journal
Create Rate types, and daily rates and Historical Rate
Currency conversion level-balance
Consolidation requirement:
Optional
Budget Analyst , Budget Manager
Calculation Manager is a tool used for allocation expenses and revenue depending on our need
nter values for key flexfields. A cross-validation rule defines whether a value of a particular segment can be combined with specific val
d assign the roles to user & provide data access
d assign the roles to user & provide data access
nter values for key flexfields. A cross-validation rule defines whether a value of a particular segment can be combined with specific val
combined with specific values of other segments.
combined with specific values of other segments.
Configuations Job           Map        Purpose   Comments
Defining Grid
Adding formula
Defining rolling period
Defining grid and user point of view
Setting properties
Adding logo and title
Comments
Configuations                                                                         Roles
Configuring and Using Expenses
Practice 4-1: Reviewing Expenses System Options
Practice 4-2: Creating an Expense Report Template
Practice 4-3: Reviewing Approval Rules (Demonstration)
Practice 4-4: Setting Warning and Error Limits on a Conversion Rate (Demonstration)
Practice 4-5: Viewing a Conversion Rate Policy Warning and Error
Practice 5-1: Touring the Simplified Work Area
Practice 5-2: Creating an Expense Report
Practice 5-3: Marking an Expense Item as a Recurring Expense
Practice 5-4: Adding a New Primary Bank Account
Practice 5-5: Adding a Delegate to the Delegate and Permissions Page
Practice 6-1: Setting Up a Car Rental Expense Policy                                          Optional
Practice 6-2: Setting Up an Accommodations Expense Policy
Practice 6-3: Setting Up a Meals Expense Policy
Practice 6-4: Setting Up a Miscellaneous Expense Policy
Practice 6-5: Setting Up an Airfare Expense Policy                                            Optional
Practice 6-6 Setting Up a Mileage Expense Policy
Practice 7-1: Creating a Corporate Card Program
Practice 7-2: Setting Up a Corporate Card Usage Policy Warning (Demonstration)
Practice 8-1: Creating Receipt and Notification Rules
Practice 9-1: Creating an Audit List Rule                                                     Optional
Practice 9-2: Adding an Employee Expense Report to the Audit List
Practice 9-3: Selecting Audit Selection Rules (Demonstration)
Practice 10-1: Configuring Cash Advances (Demonstration)                                      Optional
Practice 10-2 Requesting a Cash Advance
Processing Expense Reimbursements                                                             Optional
Practice 12-1: Creating and Submitting an Expense Report (Demonstration)
Using Travel Integration and Mobile Devices                                                   Optional
Practice 14-1:Setting Up Travel Integration (Demonstration)
Practice 14-2: Creating and Importing a Trip Itinerary
                                                                                              Optional
Managing Expense Reporting
Practice 16-1: Creating Ad Hoc Reports for Expenses
Optional
          Configuations                                   Job        Map        Purpose    Comments
Configurat Configure Expense System Option                Manage Expenses System Option
Configurat Create Expense Report Template                 Manage Expenses Report Template
           Create New User
           Create Manager User
           Assign Employee-Manager relationship
           Provide Default Expense Account                Manage User
Configurat Create Approval Rules                          BPW
           Provide Roles to User
           Provide Data access for User
           Additional Configuations
           0. Expense Policy
Configurat Define Expense Policy                         Manage Policies by Expense Category
           Assign the Expense Policy to expense Template Manage Expense report template
           01. Auditing Expense
Configurat Define Expense Audit List Rule               Manage Expense Audit List Rules
           Adding Employee Expense Report to Audit List Manage Aud
                                                                 Expense->Auditing->Tasks>manage Audit list Membe
           Define Expense report Audit Selection Rule   Manage Expense report Audit Selection Rule
Configurat 1. Setting Warning and Error Limits on a ConverManage Conversion raTo give TolThis is a one time activities in an
           2. Cash Advances
Configurat Define Cash Advances policies                  Manage Cash Advances policies
           Define Cash Advances Approval Rules            Manage Expense ApprCash Advance Approval
          3. Define Receipt and Notification Rules
Configurat Define Receipt and Notification Rules         Manage Expense Report Receipt and Notification Rules
          Assign the Receipt rule to expense report temp Manage Export report template
          4. Define Corporate card(Credit card)
Configurat Define Corporate card Mapping Rules           Manage Corporate card ExpenseSource Lookup type: MIS Indust
           Define Corporate card program                 Manage Corporate Card Programs
           Assign the Mapping rules to corporate card pr Manage Corporate Card Programs
           5. Setting up Corporate Card Usage Policy Warning
Configurat Define Corporate Card Usage Policy            Manage Corporate Card Usage Policy
          6. Settingup Travel Integration
Configurat Enable travel Integration                  Manage Expnese SystEnable Travel
           Define Travel Integration                  Manage Travel Partner Integration
           Run Import Travel Itineraries              Import Travel Itineraries
           Enable Itinerary Validation Rules          Manage Travel Policy Lookup Type
          User End
          Employee# create expense report & submit for Expense   Navigator->Expense
          Manager# approve the expense report
          Audit
          Run "Process expense reimbursement"
          Find payment request invoice in PA
Configurat Configure Credit Card
           Configure corporate card Issuers           Manage Corporate card issuers
 Comments
Tasks>manage Audit list Membership
election Rule
 This is a one time activities in an instance
ance Approval
t and Notification Rules
 Source Lookup type: MIS Industry Codes
Configuring Tax and Subledger Accounting for Payables
Practice 8-1: Viewing a Calculated Tax on a Payables Transaction Demonstration
Practice 8-2: Creating a US Sales Tax Using the Tax Configuration Workbook
Practice 8-3: Creating a VAT Tax Using the Tax Configuration Workbook (Optional)
Practice 8-4: Using the Tax Simulator to Test a Payables Transaction
Practice 8-5: Enabling Your Tax for Transactions
Configuring Oracle Fusion Tax
creating US sales tax using tax configuration workbook                                       Location-P
creating a VAT tax using tax configuration workbook
Using tax simulator to test recievables transaction
enable tax for calculation
                                                                                   Determining Factor
                                                                                             Optional
                                                                                             Optional
                                                                                             Optional
                                                                                             Optional
                                                                                             Optional
Configuations                     Job                             Map Purpose    Comments
Create Tax Regime                 Manage Tax Regime
Create Tax                        Manage Taxes
Create Tax jurisdictiomn          Manage Taxes
Create Tax Status                 Manage Taxes
Create Tax Rates                  Manage Taxes
Create Configuration Owner Tax optManage Configuration Owner Tax option
Manage Geography - check Tax validManage Geography
Create Location                   Manage Location
Assign the Location to Supplier site Supplier Site Assignment
Run"Validate Geographies AddresseValidate Geographies Addresses   Schedule Process
Enable Tax for Simulator             Manage Taxes
Tax Simulator                        Manage Tax Sumulator
Enable tax for transaction           Manage Taxes
Party
Product
Place
Process
Setups
Tax Configurations - Foundation
Create Tax Regime                Manage Tax Regime
Create Tax                       Manage Taxes
Manage Party tax Profile         Manage Party tax Profile
Create Tax jurisdiction          Manage Tax jurisdiction
Create Tax Status                Manage Tax Status
Create Tax Rates                 Manage Tax Rates
Manage Configurations owners Tax Manage Configurations owners Tax options
Tax Recovery rate                Manage Tax Recovery rate
Tax Rules                        Manage Tax Rules
Manage Tax Reporting             Manage Tax Reporting
Run Tax Simulation               Run Tax Simulation
Rapid Implementation
                              Manage Tax Regime
                              Manage Taxes
                              Manage Tax Rates
                              Manage Tax Recovery rates
Tax Configuration Workbook    Manage Tax Thresholds
                              Manage Tax Rules
                              Manage Tax Excemptions
                              Manage Party Classification
                              Manage Tax Reporting Codes
                              Manage Tax Payer Identifier
                              Manage Product Fiscal
                              Classifications
                              Manage Payables Tax Determinant
                              Defaults
                              Manage Tax Regime Subscriptions
Tax Implementation Workbook   Manage Tax Registrations
                     Configuati Job        Map        Purpose    Comments
                                                                 7.Import Supplier Products a
Optional Configurat 24.    File Based Data Import (FBDI)
                                                     UsedProcess
                                                           for da8.Import
                                                                 - Suppliers
                                                                          Supplier
                                                                             Conversion
                                                                                   Attachmen
                                                                                        Proce
                    Download Template from Oracle OER
                    Prepare template data
                    Convert data templates to CSV format
                    Upload theFile ImportNavigator->File Import and Export
                    Mova dataLoad InterfScheduled Process
                    Import dataImport SupScheduled Process
Optional Configurat 25.    File Based Data Import (FBDI)
                                                     UsedProcess
                                                           for daOepn
                                                                 - Openinvoice
                                                                         Invoices Conversion P
                    Download Template from Oracle OER
                    Prepare template data
                    Convert data templates to CSV format
                    Upload theFile ImportNavigator->File Import and Export
                    Mova dataLoad Interface File for Import -> Import Payables Invoices
                    Import dataImport Payables Invoices
                     20.    File Based Data Import (FBDI) Process Customer
                                                                  - Customers Conversion Proc
                     21.    File Based Data Import (FBDI) Process Autoinvoice
                                                                  - AutoInvoice Conversion Pro
          Configurat Complete RManage Receivables Activity
                     Transactio Manage Transaction Source
                     Define ReceManage Receivables Descriptive Flexfield
                     14.    File Based Data Import (FBDI) Process Fixed
                                                                  - Assets
                                                                        Asset mass Additions, F
                     5.    Loading Journals from FBDI Templates Journal Import
 Comments
 7.Import Supplier Products and Services Categories
 8.Import Supplier Attachments
ort and Export
 Oepn invoice
ort and Export
> Import Payables Invoices
 Autoinvoice
 Fixed Asset mass Additions, Fixed Asset mass Adjustment, Fixed Asset mass Retirement, Fixed Asset mass Transfers
 Journal Import
                                                                                     Optional
                                                                                     Optional
Practice 11-1: Creating Three Account Rules                                          Optional
Practice 11-2: Creating a Description Rule
Practice 11-3: Creating Two Journal Line Rules                                       Optional
Practice 11-4: Creating a Journal Entry Rule Set                                     Optional
Practice 11-5: Duplicating and Modifying an Accounting Method                        Optional
Practice 11-6: Submitting Create Accounting in Draft and Viewing the Subledger Journal in Payabl
Practice 11-7: Submitting Create Accounting in Final/Post
Subledger
Creating three accounting rules
Creating description rule
Creating two journal line rule
Creating journal entry rule set
Duplicating and modifying accounting method
Configuations                     Job      Map      Purpose      Comments
Custom formula                    Manage Custom Formula
Multiperiod Accounting
Mapping Sets
Account Rules
Conditions
Description Rule
Supporting references
Journal Line Rules
Journal Entry Rule Set
Subledger Accounting Method
MultiPeriod Accouting
Define custom Formula
Assign the Custom Formula to Accounting Event Class and Accouting Attribute
Define Multiperiod Class
Define Journal line rules
Assign the Custom Formule and Multiperiod CLass to journal line rule
Assign the Journal line rules to journal line rule set
Assign the rule set to accounting method
`
Support.oracle.com                                                  1387777.1 1458904
                                                     Enterprise Structure and Financial Reporting Structure
Common Applications Configurations
Legal Structure
Financial Reporting Structure
GL
Organizational structure
Reference Data Set
Enterprise Structure
Manage Geography
Manage Legal Entity
Manage Business Unit
Financial Reporting Structure
Manage Accounting Calender
Manage Currency
Manage Chart of accounts                                       COA,Cross Validation rule,Security Rule
Accounting Method
Manage Primary Ledger
Specify Ledger Options
                                                                      Accounts Payables
Required
Manage Procurement Agent
Reference Data Set
Manage Payment Terms
Manage Common options for Payables and Procurement
Manage invoice Options
Manage Payment Options
Optional
Define Automated Invoice Processing Configurations
Manage Payables Calender
Manage tax Reporting and Withholding tax options
Manage Payables lookups
Manage Payables Descriptive Flexfields
Manage Payables Profile Options
Manage Payables Document Sequences
Manage Distribution Sets
Manage Invoice Tolerances
Manage Invoice Hold and Releases
Manage Aging Periods
Manage Payables Withholding Tax
Manage Interest rates
Manage Bank Charges
Payments
Required
Define Bank Account
Define Payment System Connectivity
Define Disbursement
Define Payment Approval
Imaging Integration
Signup for Automated invoice processing Service
Raise SR for email for test and production instrance
Setup Scanners to produce TIFF images
                                                      Fusion Tax
Tax Configurations - Foundation
Create Tax Regime
Create Tax
Manage Party tax Profile                   Optional
Create Tax jurisdiction
Create Tax Status
Create Tax Rates
Manage Configurations owners Tax options   Optional
Tax Recovery rate                          Optional
Tax Rules                                  Optional
Manage Tax Reporting                       Optional
Run Tax Simulation
Rapid Implementation
Tax Configuration Workbook
Tax Implementation Workbook
                                                SubLedger Accounting
Setups
Custom formula                             Optional
Multiperiod Accounting                     Optional
Mapping Sets                               Optional
Account Rules
Conditions                                                            Optional
Description Rule                                                      Optional
Supporting references                                                 Optional
Journal Line Rules
Journal Entry Rule Set
Subledger Accounting Method
MultiPeriod Accouting
Define custom Formula
Assign the Custom Formula to Accounting Event Class and Accouting Attribute
Define Multiperiod Class
Define Journal line rules
Assign the Custom Formule and Multiperiod CLass to journal line rule
Assign the Journal line rules to journal line rule set
Assign the rule set to accounting method
Advanced Feature of Subledger Accounting
Subledger Accounting profile Options
Accrual Reversals
                                                                              Cash Management
Setups
Automatic Reconciliation:
Bank,Bank Branch,bank Account
Transaction code
Parse Rule Sets
Bank Statement Transaction Creation Rules
Cash transaction Type Mapping
Bank Statement Reconciliation Tolerence Rules
Bank Statement Reconciliation Matching Rules
Bank Statement Matching Rule Sets
Define Subledger Accounting Rules
Key Setups for Bank Statement Processing
Cash Transaction Type Mapping for Payables, Receivables and Payroll
Transaction code
                                                                                 CE_INTER
                                                                                 NAL_BAL
                                                                                 ANCE_CO
                                                                                 DES
                                                                                 CE_balan
                                                                                 ce_code
                                                                                 CE_Trx_C
Code Map Groups                                                                  ode      lookups
Bank Statement Formats
Parse Rule Sets
Transaction Creation Rules
Bank Statement Reconciliation Setups
Tolerance Rule
Bank Statement Reconcilation Matching Rule
Bank statement Reconcilation Rule Set
Additional Setups
Manage Payment Method
Configure Payment Method Defaulting rule for Cash Transaction
                                                                             Expenses
Required
Rapid Implementation
Manage Expense System Options
Manage Expense Report Template
Manage Expense Approval Rules
Manage Conversion Rates and Policies
Initiate HCM Speadsheet Load
Load Data batch
Modify Expense Account Segment                                    Search: EXM_ALLOW_FULL_ACCT_OVERRIDE
Controlling Automatic population of Expense Fields                Search: EXM_D Date,CurreWhen the profile is set t
Disable Expense Account Segment                                   Search: EXM_DISABLE_Company_Segment
Manage Conversion Rate and Policies                               To define conversion rates and warning and error f
Manage policies by Expense Category
Configure Credit Card
Configure corporate card Issuers                                   This field is to setup corporate card company
Create Transfer Parameter Dialog Box                               Setup download connection data known as downlo
Configure corporate card Program and mapping rule
Disabling the Merchant Name Update on the Corporate card transactioCreate Profile option code value "EXM_DISABLE_CC
Specify Corporate card Usage Policy
Setting Receipt and notification Policies
Setting Receipt and notification Rules
Assign reciept and notification policies to expense report template
Auditing Expenses
Manage Expense Report Audit Selection Rule
Manage Expense Report Audit List Rules
Manage Expense Reports Audit Rules by Expense Templates and types
Adding Employee Expense Report to Audit List                      Manage Audit list Membership
Manage Expense System options
Cash Advances
Manage Cash Advance Policies
Define Cash Advances Approval Rules                                   FinExmWorkflowCashAdvanceApprooval
Processing Expense Reimbursements and Capturing Tax
Process Expense Reimbursement                                         Expense Auditor runs Process Expense Reimbursem
Tax Classification Code
Manage Third Party tax Profile
Assign Tax classification Code to Expense
Show/Hide Tax Classification code
Integrating Travel
                                                                                Receivables
Required
Rapid Implementation
Receivables System Options
AutoAccounting Rules
Receivables Activities
Remit-to-Address
Statement Cycles                                                      Weekly,Monthly Quarterly Statement
Define Approval Limits
Document types                                                        Adjustments, Credit memo Refund, Write-off
Optional
Recievables Document sequencing
Foreign currency conversions
Users for Credit memo workflow
value Sets                                    Used for Reconciliation
Customer Billing
Autoinvoicing Process
Receivables Descriptive Flexfield             RA_Interface_Lines
Autoinvoice grouping Rules                    Optional
Autoinvoice Line ordering Rule                Optional
Autoinvoice Clearing Account                  Optional
Define Payment Terms
Manage Transaction Type
Manage Transaction Source
Define Standard Memo Lines                    Chargeback,Freight,Line,Charges,Debi Memo Rever
Balance forward Billing
Balance forward Billing Cycle
Balance forward Billing Payment Term
Customer Profile Class
Recurring invoice Setup
Receivables system options
Recurring bill plan
Customer Payments
Remittance Bank                               Bank,Bank Branch,Bank Account
Receipt Classes and Method
Receipt Source
AutoCash Rule
Application Rule
AutoMatch Rule
Lockbox
Revenue for Receivables
Setups for Revenue Recognition                AutoAccounting, Salesperson System Options, Reve
Revenue Scheduling Rule
Define Revenue Policies
Define Revenue Contingencies                  Used to defer Revenue
Customer Setup
Manage Receivables Customer Profile Classes
Credit Management
Bill Management
Enable Bill Management                             Search for ARB_FEATURES and add "BILL_MANAGE
Assign BU to Job Role
Manage Bill Management Registration
Manage Bill Management System Options              Customer Accounts payables Specialist
Advanced Collections
Required
Manage Collections Preference
Manage Aging Method
Manage Collector
Configure Dunning Letter                           Dunning Address, Dunning Notice,Dunning Templa
Manage Strategy Task                               Manage Collections Scoring and Manage Collection
Manage Collections Strategies                      Dunning or Strategy
Optional
Manage Collections Lookups
Manage Collections Note Types and Mapping
Manage Collections Note Descriptive Flexfield
                                                                  General Ledger
Required
Chart Of Account
Cross-Validation rules
Security Rules                                     Optional
Shorthand alias
Account Combinations
Primary Ledger
Specify Ledger Options
Assign Legal entity
Assign Balancing segment value to legal entities
Assign Balancing segment value to primary ledger   used for all non-legal entities transactions such as l
Balancing segment value assignment report          Used to check all BSV's assigned to legal entities an
Approvals
Enable Journal Approval
Specify Journal Source(Enable approval)
Create approval rules
Optional
General Ledger Options
Manage Suspense Accounts
Manage Statistical Unit of measure
Manage Journal Source and Category
Manage Document and Journal sequencing
Manage Autopost Criteria Sets
Manage Autoreverse Criteria Sets                             Enable in Journal Source
Manage General Ledger Profile Options
Manage Processing Schedule
Manage Reporting Currency                                    Conversion Level -Balance,Journal,Subledger
Secondary Ledger                                             Conversion Level -Balance,Journal,Subledger,Adjus
Intercompany
Need to Assign Balancing segment to Legal entity
Enable Intercompany in Ledger options
1. Setting Up a New Rule
Setup Balancing Rule
2. Review Secondary and Clearing Company balancing Options
Define Allocation Rule
Intercompany Transaction setups
Define Intercompany System Options                           Enterprise level
Define Intercompany transaction type
Define Intercompany Period Status
Define Intercompany Organization
Define Invoicing Options
Define Transaction Account Rule
Define Intercompany Balancing Rules
Translation
Define rate types
Specify Rate type and CTA in ledger option
Manage Reporting ledger                      Corporate currency
Daily rate
Run translation
Period Close
Open and close period life cycle             Never Opened,Future Enterable,Open Period,Close
Consolidation                                Balance Transfer Consolidation
Consolidation Method                         Oracle HyperionFinancial Management Fusion Editi
Consolidation Ledger
Specify Ledger option
Map COA
Run Transfer Balance
Run Consolidation
Budgets
                                                         Financial Reporting
Financial Reporting Center                   Financial Reports are Balace Sheet, Income Statem
Financial Reporting studio Components        Header,Text Box,Grid,Chart,Image, Footer,Row,Col
Smart View                                   Adhoc Analysis, Financial Reports using query desig
Oracle Transactional BI Reports
Oracle BI Publisher Reports
                                                             Fixed Assets
Required
                                             Assets Key Flexfield
eporting Structure
                                     Legal Address, Legal Jurisdiction, Legal Authority
Security Rule
                                     General information, Accounting Calender, Accounting Method, Period Close, Journal Processing
                                        Legal entity information
                                     Pay group(defined in Manage payables lookup), Duplicate invoice check(Defined in Lookup code
            used for Payment terms, Automatic Withholding Tax, Key indicator reporting and recurring invoices
                                     Lookup are used as list of values in applications (3 configuration level- User, Extensible,System)
                                     Descriptive Flexfield are optional but provide implementor the ability to capture data that woul
Define Payables tax and
withholding task lists
Includes setups for US
1099 income tax
reporting and
withholding tax           Manage Tax Region(Method-Same as federal,compare individually,compare sum). Manage Repo
1. Disbursement Payment
file format
2. Transmission
Configurations(Transmissi
on  Protocol,transmission
Manage   Payment
Configuration,Tunneling
Method(optional as the Manage Format
Configuration)
payments has many         Manage Transmission Configuration
3. Payment  Systems
predefined Payment        Manage Payment System
methods)(payment
formatS
EDIFACT,NACHA,ISO2002
0)
Manage Payment
method defaulting Rules
(BUSINESS UNIT,PAYEE
LOCATION,CURRENCY,PA
YMENT PROCESS
TRANACTION TYPE, FIRST
PARTY LEGAL ENTITY))      Manage Payment Method(optional)
Manage Payment Codes Manage Payment method defaulting
Manage Payment Process Rules
Profile                   Manage Payment Codes
Manage Disbursement       Manage Payment Process Profile
System Options            Manage Disbursement System Options
                          Manage Distribution System Options
                          Define Approvals in BPW
     Ledger and accounts
     master Geographies
     Options: Common Configurat
                            Manage Tax Regime
                            Manage Taxes
                            Manage Party tax Profile
                            Manage Tax jurisdiction
                            Manage Tax Status
                            Manage Tax Rates
                            Manage Configurations owners Tax options
                            Manage Tax Recovery rate
                            Manage Tax Rules
                            Manage Tax Reporting
                            Run Tax Simulation
                            Manage Tax Regime
                            Manage Taxes
                            Manage Tax Rates
                            Manage Tax Recovery rates
                            Manage Tax Thresholds
                            Manage Tax Rules
                            Manage Tax Exemptions
                            Manage Party Classification
                            Manage Tax Reporting Codes
                            Manage Tax Payer Identifier
                            Manage Product Fiscal Classifications
                            Manage Payables Tax Determinant
                            Defaults
                            Manage Tax Regime Subscriptions
                            Manage Tax Registrations
                            Manage Legal Entity Tax Profile
                            Manage Legal Reporting Unit Tax Profile
                            Manage Party Tax Profile
ng
                            Manage Custom Formula
Mapping Cash Management
Transaction Types to:
Payables Payment Methods
Receivables Receipt Method
Payroll Payment types
Used in:
Parsing Rule Sets
Bank Statement Transaction Creation
Rules
Bank Statements
                                     Types:
                                     Balance-Opening and closing book
                                     balances
                                     Transaction-used on bank statement
                                     lines
L_ACCT_OVERRIDE                       Manage Administrative profile values
 When the profile is set to N then th Manage Administrative profile values
mpany_Segment                         Manage Administrative profile values
s and warning and error for conversionManage Conversion Rate and Policies
                                      Manage policies by Expense Category
 rate card company                   Manage Corporate card issuers
on data known as download profile that
                                     Manage corporate card Program->Create Transfer Parameter Tab
                                     Manage corporate card Program
  value "EXM_DISABLE_CC_MERCHA Manage Administrative profile values
                                     Manage Corporate card Usage Policies
                                   Manage Expense reports Receipt and notification rules
                                   Manage Expense reports Templates
                                   Manage Expense Report Audit Selection Rule
                                   Manage Expense Report Audit List Rules
                                   Manage Expense Reports Audit Rules by Expense Templates and types
                                   Expense->Auditing->Tasks>manage Audit list Membership
                                   Manage Expense System options
                                   Manage Cash Advance Policies
anceApprooval                      BPW
cess Expense Reimbursement and cashSchedulled processes
                                   1. Using Manage Tax fields
                                   2. Update in/ while creating Expense
                                   Type
                                   1. Using Manage Tax fields
                                   2. Update in/ while creating Expense
                                   Type
                                   Manage Receivables System Options
                                   Manage AutoAccounting Rules
                                   Manage Receivables Activities
                                   Manage Remit-to-Address
y Statement                        Manage Statement Cycles
                                   BPW
o Refund, Write-off
                                  Manage Recievables Document sequencing
                                  Specify Ledger Options
                                  Manage Payment Terms
                                  Manage Transaction Type
                                  Manage Transaction Source
harges,Debi Memo Reversal,Tax     Manage Standard Memo Lines
son System Options, Revenue Adjustment Reason Lookup Type
                                   Manage Revenue Scheduling Rule
                                   Navigator->Revenue->Manage Revenue Policies
                                   Navigator->Revenue->Manage Revenue Contingencies
S and add "BILL_MANAGEMENT"           Manage Standard Lookups
                                      Manage Data access for User
                                      Manage Bill Management Registration
les Specialist                        Manage Bill Management System Options
g Notice,Dunning Template,Dunning CoManage Dunning Configuration
ng and Manage Collections Scoring data point is required
dger
ties transactions such as lawer fee etc
signed to legal entities and ledger     Scedulled processes
                                     Specify Ledger Options
                                     Manage Journal Source
                                     BPW
,Journal,Subledger
,Journal,Subledger,Adjustment only
                                     Specify Ledger Options
                                     Manage Intercompany balancing Rules
                                     Manage Secondary and Clearing Company balancing Options
                                     Calculation Manager
                                     Manage Intercompany Customer and
                                     supplier Assignment
                                     Manage Intercompany Receivables
                                     Assignment
erable,Open Period,Close Period(Soft Close),Permanently Closed Period
ation
Management Fusion Edition
                                     Manage Primary Ledger
orting
ce Sheet, Income Statement, Cash Flow Statement
rt,Image, Footer,Row,Column,Page,Cell
Reports using query designer         Excel Based
ets
           Asset Category, Asset Location. Asset Key
Close, Journal Processing, Sequencing
(Defined in Lookup code: Duplicate_invoice_check)
ser, Extensible,System)
 capture data that wouldn’t be captured by the application. Descriptive flexfield provide optional expansion in as user interface for add
pare sum). Manage Reporting Entites, Manage tax Code, Manage Withholding Tax classification, Manage Withholding tax Certificate (M
in as user interface for additional information
thholding tax Certificate (Manage Withholding tax code,Using Rate type)
                                                            Accounts Payables
All the above entries are for P2P Cycle
If we do not match with PO
Standard Invoice
Charge Account / Item Expense A/C                     Dr
Liability Account                                     Cr
Accrual Account
Payables account
If we match with PO
While deleivering items to Sub Inventory
Material A/c                                          Dr
Receiving INV A/c                                     Cr
While create receiving items/At the time of receipt
Receiving Inventory account A/C                       DR
Ap Accrual A/C                                        Cr
While create invoice in AP
ap accrual A/C                                        Dr
Accounts Paybles OR liability A/c                     Cr
While making Payment
Liability A/c                                         Dr
Cash clearing A/c                                     Cr
While reconciling payments
Cash clearing A/c
Bank/Cash A/c                                         Cr
                                                           Accounts Receivables
Standard Invoice
Accounts Receivables                                  Dr
Revenue Account                                       Cr
 Accounts Payables
 Payment                             Reconciliation
 Liability Account              Dr   Cash Clearing Account   Dr
 Cash clearing account          Cr   Bank/Cash Account       Cr
Accounts Receivables
 Remittance                          Reconciliation
 Remittance Account             Dr   Cash Account            Dr
 Accounts Receivables Account   Cr   Remittance Account      Cr
Understanding of Web-services for integration
Hands-on experience in Fusion integration technologies like SOA & ICS
Hands-on experience in Fusion Reporting technologies like BI Publisher, OTBI & FRS
Oracle Fusion Financials interface experience
Complete understanding of data extraction from Cloud ERP instance
Import data/ mass update of data/ data migration activities
Data migration using FBDI and HCM Data Loader (HDL)
OBIEE/OBIA/BI Reporting
Financial Reporting tools
FRS (Financial Reporting Services)
Smart view reporting
Awareness of one of the following processes would be a plus:
P2P Business Flow
DOO(Distributed Order Orchestration) Business Flow
PPM/HCM Business Flows
Awareness of Fusion SOA would be a plu
Experience with J2EE, ADF (Faces), ADF BC, ADF Tasks Flows / Portlets,
Web Services
3.Strong experience with Oracle Application Development Framework ADF and
Fusion Middleware
4.Strong experience in developing web services: REST, SOAP, WSDL
5.Should have a good knowledge of cloud configuration and setup, Application
Composer and Page Composer.
6.Should be familiar with frequently used Integration Patterns in Cloud.
7.Should have expertise in one of the following areas :
oCustomization using PaaS (JCS, DBCS, ICS),
oBuilding integrations and web service security.
oData conversions using FBDI Templates
8.Should have thorough experience in developing BIP Reports, creating ESS
Jobs.
Key Accountabilities:
1. Taking functional specifications from users
2. Support and trouble shooting of the existing Developed applications (Forms, Reports and Interfaces)
3. Database structure design for tables, views, sequences, synonyms, triggers etc.
4. Development of forms and reports
5. Integration with legacy systems and customizations
6. Training users
7. Implementation of the components/application
8. Technical documentations
9. Ensure high customer satisfaction
10. Ensure assignments are completed within deadline
11. Ensure all the work is fully documented
Qualifications, Experience and Skills required:
12. Expertise in Apex is a must.
13. Expert in oracle forms, oracle reports, webEDI, PLSQL, Workflow, OAF,
14. Good knowledge on the Oracle Apps Standard, table structure, architecture and data bases
15. Atleast 3 full implementation experience
16. Expertise in creating interfaces, custom tables and data loading
17. Expert in using tools like Toad, SQL, SQL Plus
18. Capable of integrating Third Party Tools with Oracle databases
19. Good Analytical, Technical, Time Management and Communication Skills
20. Knowledge of office tools and documents tools
https://www.youtube.com/watch?v
https://learn.oracle.com/ols/cours
https://learn.oracle.com/ols/course
ww.youtube.com/watch?v=BJXXGyfdUpw&list=PLWEo2jdvMYtS1PH2ViQclBwnfzSGlrLMW&index=34
arn.oracle.com/ols/course/oracle-financials-cloud-payables-to-cash-management-implementation-new/45170/96049
arn.oracle.com/ols/course/oracle-financials-cloud-using-payables-new/45170/84597
5170/96049
Accounts Payables
Expenses
Receivables
GL
Fixed Assets
FA_MASS_ADDITIONS