Brochure - Oracle Fusion Book Set V14
Brochure - Oracle Fusion Book Set V14
Brochure - Oracle Fusion Book Set V14
Page Update
Oracle Fusion 11-Aug-17
Financials
Book Set Pricelist
Brochure/List of Chapters
Updated with Release 12 essentials
1
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Brochure 1
Page Oracle Fusion Book Set 13
Volumes
4010
Pages
7200
Snaps
2
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Summary 2
Page Fusion GL and SLA 3
Volumes
920
Pages
1750
Snaps
3
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Summary 3
Page Fusion AR/Adv.Coll 2
Volumes
760
Pages
1450
Snaps
4
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Summary 4
Page Fusion AP and Expenses 2
Volumes
830
Pages
1500
Snaps
5
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Summary 5
Page Fusion FA and Cash 3
Volumes
680
Pages
1250
Snaps
6
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Summary 6
Page Fusion Tax 1
Volume
380
Pages
700
Snaps
7
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Summary 7
Page Fusion Approvals, Roles 1
Volume
289
Pages
500
Snaps
8
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Summary 8
Page Update: Release 12 1
Volume
120
Pages
210
Snaps
9
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Author 1
CA Suhas Vaze
Rank Holder Chartered Accountant Facebook
Specifications
Printed Copy
Written using Oracle Financials Cloud R11
Coloured Covers and Back Covers
Colour OR Black/White Content Pages
Paper Size Approx A4
(Printed on A4 and Slightly Cut for Binding)
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11
Soft Copy is NOT Provided
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Specifications 3
Specifications
Average Pages Per Volume: 300
Total 13 Volumes
Scanning/Photocopy/Xeroxing Prohibited
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12
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Order within India 4
Domestic Orders
(1) Place Online Orders on
flipkart.com / eBay.in
(2) Place Direct orders, by writing mail to
suhasvaze1@gmail.com
and pay by Bank Transfer (details in return mail)
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Free India Shipping
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Order Outside India 5
International Orders
(1) Place Orders on eBay.in and
choose International Shipping
(2) Place Direct orders, by writing mail to
suhasvaze1@gmail.com
and pay by Bank Transfer (details in return mail)
14
14
International Shipping extra
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Support/Warranty 6
Support
Free 3 (Three) Month Support
with All Products
for Doubt Clarification on any
Chapters/Topics covered in the Books
Support by mail/whatsapp/webex
15
15
as needed. Register mail/phone for support
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Contact us 7
SuhasVazeLabs
C-301/302, Silver Crest
Shivteerthnagar, Paud Road
Pune 411038. Maharashtra, India
suhasvaze1@gmail.com
whatsapp: +91 98230 11027
+91 20 25382485
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www.facebook.com/R12FinancialsBookSet
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Links 8 Flipkart 2
Links eBay 2
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General Ledger 1
Implementation Project
Create Implementation Project
Configure Offerings
Login to Fusion
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18
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General Ledger 2
Legal Entity
Create an Address
Create a Legal Entity
Register Legal Entity
19
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General Ledger 3
Chart of Accounts
Define COA Value Sets
Define COA Structure
Define COA Structure Instance
Deploy the FlexField
Define COA Value Set Values
20
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General Ledger 4
Calendars
Define calendar
Add Years to Calendar
22
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General Ledger 6
Primary Ledgers
Define Primary Ledgers
Assign Legal Entities
Configure Ledger
Finalize Accounting Configuration
23
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General Ledger 7
24
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General Ledger 8
GL Roles
Open Oracle Identity Manager
Access Users
Verify GL Roles
Assign GL Roles
25
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General Ledger 9
Journals
Open GL Periods
Enter Journals
Post Journals
26
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General Ledger 10
28
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General Ledger 12
29
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General Ledger 13
ADF-DI Journals
ADF Desktop Integrator
Download and Install ADF-DI
Setup MS Excel
Enter Journals in Spreadsheet
Upload Journals from Spreadsheet
30
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General Ledger 14
FBDI Journals
Download FBDI Journals Template
Prepare Journals Data in Template
Generate Datafile
Upload Datafile
Import Journals from Datafile
31
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General Ledger 15
Accounting/Reporting Sequences
Enable Sequencing
Create Sequence
Assign Sequence
Enter, Compete and Post Journals
Period Statuses
Verify Sequences
32
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General Ledger 16
Journal Approval
Enable Journal Approval
Setting up AMX for Journal Approval
Enter Journal and Submit for Approval
Approval Notification
Approve Journal
Verify Approval
34
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General Ledger 18
Journal AutoPosting
Create AutoPost Criteria Set
Assign AutoPost Criteria Set
Enter, Save and Complete Journals
Generating AutoPost Criteria Set
Verify Journal Posting
35
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General Ledger 19
Security Rules
Enabling Security
Conditions
Policies
Create a Security Rule
Submit Resource
Verify Security Rules
36
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General Ledger 20
37
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General Ledger 21
Account Aliases
Enable COA Aliases
Deploy COA
Create Aliases
Verify Aliases
38
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General Ledger 21
Account Inspector
Inspector View
Page Level Dimensions
Drag and Drop Dimensions
Columnar Views
View Account Balances
Drill-down from Account Inspector
39
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General Ledger 22
Account Monitor
Create Account Group
Set Balance to Monitor
Set Comparison
Set Accounts to Monitor
View Account Monitor
Drill-down from Account Monitor
40
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General Ledger 23
Journal Reversals
Manual Reversals
Automatic Reversals
Create Auto-Reversal Criteria
Verify Auto-Reversals
42
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General Ledger 25
Mass Allocation
Create Account Hierarchy
Calculation Manager & Point of View
Setup Allocation Ratio
Setup Allocation Formula
Deploy Allocation Rule
Generate Allocation
Verify Allocation 43
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General Ledger 26
Formula/Recurring Journals
Setup Point of View
Configure Formula
Validate and Deploy Formula
Generate Formula Journal
Verify Generated Journal
44
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General Ledger 27
Budgets/Budgetary Control
Enable Budgetary Control
Create Budget
Create Supplemental Rule
Enter Budget Amounts
Verify Budgetary Control
Budget by Summarised Accounts/Periods
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General Ledger 28
Secondary Ledgers
Create Secondary Ledger
Data Conversion Levels
Daily Exchange Rates
Primary to Secondary Mapping
Subledger Options
Verify Journal Generation
Verify SLA Journal Generation 46
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General Ledger 29
Inter-company Transactions
Inter-company Balancing
Setup Inter-company Accounts
Enter Inter-company Journal
Post Journals
Verify Inter-company Accounting
47
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General Ledger 30
Revaluation
Daily Exchange Rates
Verify Foreign Currency Balances
Setup Unrealised Gain/Loss A/cs
Run Revaluation
Verify Revaluation Journal
50
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General Ledger 33
Consolidation
Create COA Mapping
Create Consolidation Ledger
Perform Consolidation
View Consolidation
52
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General Ledger 35
Ledger Sets
Create Ledger Set
Verify Ledger Set Roles
Assign Ledger Set Roles
Run Reports on Ledger Set
View Results
53
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General Ledger 36
Closing Entries
Income Statement Closing Entries
Balance Sheet Closing Entries
Generate Closing Entries
View Closing Entries
54
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General Ledger 37
Accounting Configurations
GL Setup Accounts
AP/AR Setup Accounts
FA/Cash Setup Accounts
INV/PO Setup Accounts
TAX Setup Accounts
55
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General Ledger 38
COA Values
Company Values used in Book Set
Account Values used in Book Set
Department Values used in Book Set
57
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General Ledger 40
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Subledger A/c 1
Implementation Project
Create Implementation Project
Configure Offerings
Login to Fusion
59
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Subledger A/c 2
61
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Subledger A/c 4
Mapping Sets
Create DFF Value Sets
Create a DFF
Create Mapping Set
Setup Input Source
Setup Mappings
Create Custom SLA Structure
Verify Accounting as per Mapping Set 62
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Subledger A/c 5
Description Rules
Create a Custom Description Rule
Create Custom SLA Structure
Assign Description Rule
Enter Transactions
Generate Custom SLA Journals
Verify Journal Descriptions
63
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Subledger A/c 6
Accounting/Reporting Sequences
Enable Sequencing
Create Sequences
Assign Sequences for SLA Journals
Enter Transactions
Generate SLA Journals
Period Statuses
Verify SLA Journal Sequencing 64
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Subledger A/c 7
Supporting References
Create SR with Balances
Create SR without Balances
Sources
Create Custom SLA Structure
Assign Supporting References
Enter Transactions
Generate SLA Journals and Verify SRs 65
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Receivables 1
Implementation Project
Create Implementation Project
Configure Offerings
Login to Fusion
66
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Receivables 2
68
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Receivables 4
Create Customers
Pre-requisites
Create Customer
Create Address
Create Customer Accounts
Create Account Sites
Create Business Purposes
71
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Receivables 7
Auto Accounting
How Auto Accounting Works
Auto Accounting sources
Auto Accounting GL Accounts
Understand Auto Accounting Setups
72
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Receivables 8
Receivable Transactions
Open Receivables Period
Enter Invoices
Complete Invoice
Invoice Accounting
Transfer Accounting to GL
View Accounting
73
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Receivables 9
Receipts
Enter a Receipt
Apply Receipt to Invoices
Receipt Accounting
Transfer Accounting to GL
View Receipt Accounting
74
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Receivables 10
Adjustments
Setup Approval Limits
Create an Adjustment
Approve Adjustment
Adjustment accounting
77
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Receivables 13
Credit Transactions
Transaction Type
Create a Credit Transaction
Complete Credit Transaction
Credit Transaction Accounting
View from Original Transaction
78
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Receivables 14
Balance Details
Transaction Balance Details
Transaction Activities
79
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Receivables 15
80
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Receivables 16
Deferred Revenue
Create Deferred Revenue Rule
Enter Bill in Advance Invoice
Assign Revenue Scheduling Rules
Complete Invoice
Create Invoice Accounting
Milestone based Revenue Recognition
82
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Receivables 18
Chargebacks
Create a Receivable Activity
Create Transaction Type
Setup Approval Limits
Create Chargeback
View Chargeback Accounting
86
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Receivables 22
Misc Receipts
Create Receivable Activity
Enter a Misc Receipt
Accounting for Misc Receipt
87
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Receivables 23
Receipt Refund
Setup Approval Limits
Initiate Refund
Enter Refund Details
Auto-create Payment Request
Find Payment Request
Pay for Refund
Receipt Refund Accounting 88
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Receivables 24
Bills Receivables
BR Transaction Types
BR Receipt Classes
Define Drawee Customers
Create a Payee
Enter a Bills Receivable
Apple BR to Invoice
BR Accounting 92
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Receivables 28
Bills Receivables
Signed, Unsigned, Drawee Issued BRs
BR Remittance
Maturity and Risk Program
Invoice to BR to Receipt Flow
Accounting for BRs
93
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Receivables 29
Automatic Receipts
Receipt Classes and Methods
Document Sequences
Customer Default Payment Methods
Enter Invoices
Auto-create Receipts
View Formatted Receipts
Receipt Accounting 94
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Receivables 30
Customer Statements
Customer Profile Classes
Setup Statement Cycles
Setup Statement Options
Send Customer Statements
View Statements
95
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Receivables 31
ADF-Desktop Integrator
Download ADF-DI
Install ADF-DI
Setup MS Excel
96
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Receivables 32
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Receivables 34
AutoInvoice - FBDI
Download AutoInvoice Template
Setup Line Transaction Flexfield
Setup AutoInvoice related Options
Prepare Data in Spreadsheet
Generate Datafile
Upload Datafile to UCM
Import Invoices from Datafile 99
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Receivables 35
101
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Receivables 37
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Adv. Collections 1
Scoring Engines
What are Scoring Engines
Scoring Engine Points
Weighted Average Scores
Create a Scoring Engine
Copy an Existing Scoring Engine
104
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Adv. Collections 3
Delinquency Determination
Delinquencies
Scoring Engines
Determining Customer Status
Status = Current, Delinquent
Update Customer Status
Verify Customer Status
105
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Adv. Collections 4
Strategy Management
Setup Collection Method
Strategy Groups
Strategies and Strategy Tasks
Customer Scores and Strategies
Auto-Assign Strategies to Customers
Overriding Strategies
Executing Strategy Tasks 107
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Adv. Collections 6
Implementation Project
Create Implementation Project
Configure Offerings
Login to Fusion
110
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Payables 2
112
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Payables 4
114
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Payables 6
Procurement Agents
Legislative Groups
Legislative Groups Assignment
Persons in HCM
Users in OIM
Create Procurement Agent
115
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Payables 7
Payables Roles
Understand Payables Roles
Oracle Identity Manager
Accessing Users
Assigning Roles
116
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Payables 8
Suppliers
Supplier Data Model
Create Supplier
Create Supplier Address
Create Supplier Sites
Supplier Site Assignments
117
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Payables 9
Invoice-Payment-Accounting Flow
Enter Invoice
Invoice Validation
Invoice Approval
Invoice Accounting
Full and Partial Payments
Payment Accounting
118
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Payables 10
Register Suppliers
Internal/External Supplier Registration
Approval Rules
Enter Registration Request
Approve Suppliers
Verify Registered Suppliers
Enter Invoices/Payments
119
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Payables 11
Supplier Users
Supplier Registration & Users
Login as Supplier User
Enter/View Invoices
Payments
120
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Payables 12
121
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Payables 13
Prepayments
Prepayment Types
Enter Prepayment Invoice
Enter Payment
Apply Prepayment to Invoices
Prepayment Accounting
126
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Payables 18
Dr/Cr Memos
Enter Dr/Cr Memo
Validate Dr/Cr Memo
Dr/Cr Memo Accounting
Matching Dr/Cr Memo to Invoice
127
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Payables 19
Bills Payables/FDP
Bills Payables
Post Dated Checks
Payment Methods
Entering Future Dated Payments
Update Payments on Maturity
Bills Payable Flow and Accounting
129
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Payables 21
Automatic Offsets
What is Automatic Offsets
Automatic Offset as None
Automatic Offset as Primary Balancing
Automatic Offset for Other Segments
Invoice Accounting with Automatic Offsets
Expense and Liability Accounting
130
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Payables 22
131
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Payables 23
Expense Reports
Roles
Expense Report Templates
Default Expense A/c
Expense Report Approval
Enter/Submit Expense Report
Approve Expense Reports
132
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Payables 23
Expense Reports
Expense Report Audit
Generate Expense Report Invoices
Validate Invoices
Expense Report Invoice Accounting
Payment of Expense Report Invoices
133
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Payables 24
Invoice Approval
Enable Invoice Approval
AMX Approval & Force Approval
Setting up AMX Approval Rules
Enter and Submit Invoice for Approval
Approval Notifications
Approve Invoice
135
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Payables 26
Recurring Invoices
General Purpose Calendars
Spreadsheet Template
Enter Template Invoice
Generate Invoices
Find and View Invoices
136
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Payables 27
Purchasing/Inventory Setups
Necessary Setups for PO Matching
Inventory Organisations
Sub-Inventories
Purchasing Doc Approvals
Purchasing Line Types
Accrual A/c, PO Charge and Variance A/cs
137
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Payables 28
139
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Payables 30
140
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Payables 31
Pay on Receipt
Set up Suppliers for Pay on Receipt
Enter Purchase Order
Approve PO
Receive Items against PO
Auto-create Invoice from Receipts
141
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Payables 32
Pay on Receipt
Receipt Accounting
Invoice Accounting
Receipt Status
142
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Payables 33
143
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Payables 34
144
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Payables 35
Interest Invoices
Overdue Invoices and Interest
Setting up Interest Calculation
Setting up Suppliers
Setting up Interest Rates
145
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Payables 36
Interest Invoices
Find Overdue Invoices
Auto-generate Interest Invoices
Payment of Overdue and Interest Invoices
Invoice Accounting
Interest Accounting
146
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Payables 37
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Payables 39
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Payables 40
Encumbrance
What is Encumbrance
Enabling Encumbrance
Budgets and Encumbrance
Funds Available
150
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Payables 41
Encumbrance Setups
Encumbrance Types
EBS R12 Vs Fusion Functionality
Transactions that create Encumbrance
Encumbrance Year
Accounting Methods
151
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Payables 42
152
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Payables 43
154
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Payables 45
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Fixed Assets 1
Implementation Project
Configure Offerings
Create Implementation Project
Login to Fusion
158
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Fixed Assets 2
159
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Fixed Assets 3
160
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Fixed Assets 4
161
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Fixed Assets 5
162
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Fixed Assets 6
163
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Fixed Assets 7
Asset Calendars
Define Asset Calendar
Define Calendar Periods
164
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Fixed Assets 8
Asset Setups
Depreciation Methods
Prorating Calendars
Prorating Conventions
Asset Key Combinations
Asset Location Combinations
165
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Fixed Assets 9
Depreciation Methods
Life based Methods
Cost Based Methods
Straight Line Methods
Written Down Value Methods
166
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Fixed Assets 10
Asset Books
Corporate Books
Tax Books
Asset Category Combinations
Assignment of Asset Books
167
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Fixed Assets 10
168
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Fixed Assets 11
Amortisation
What is Amortisation
Amortised Adjustments
Expensed Adjustments
171
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Fixed Assets 14
Cost Adjustments
What is Cost Adjustment
Enter Amortised Cost Adjustment
Depreciation and Accounting
Enter Expensed Cost Adjustment
Depreciation and Accounting
172
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Fixed Assets 15
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Fixed Assets 16
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Fixed Assets 19
177
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Fixed Assets 20
Tax Books
Tax Books and Corporate Books
Create a Tax Book
Associate Tax Book with Corporate Book
Accounting for Tax Books
Set up Categories for Tax Books
178
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Fixed Assets 20
179
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Fixed Assets 21
Group Assets
Individual Vs Group Depreciation
Individual Assets in Corporate Book
Group Assets in Tax Book
Create a Group Asset
Assign Assets to Group Asset
Depreciation for Group Assets
181
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Fixed Assets 23
Group Assets
View Group Depreciation
View Member Asset Depreciation
Group Depreciation Accounting
182
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Fixed Assets 24
Asset Revaluation
Setup Revaluation Options
Setup Revaluation Accounts
Initiate Revaluation
Preview Revaluation
Run Revaluation
183
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Fixed Assets 25
Asset Revaluation
Revaluation Status
Run Depreciation and Accounting
Revaluation Accounting
184
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Fixed Assets 26
Asset Transfer
Asset Assignments
Employee, Expense A/c and Location
Transfer between employees
Transfer between Locations
185
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Fixed Assets 27
Asset Transfer
Transfer - Balancing Segment Value
Transfer - Cost Centre
Transfer - Other Segment Values
Depreciation and Accounting
Transfer of Costs and Dep Reserve
Inter-company Accounting
186
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Fixed Assets 28
Asset Reclassification
Changing Asset Category
Asset Category Defaults
Depreciation Methods for Categories
Initiate Reclassification
Preview Reclassification
Reclassification Accounting
187
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Fixed Assets 29
Asset Impairment
What is Impairment
Cash Generating Unit
Enable Impairment
Setup Impairment Accounts
188
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Fixed Assets 30
Asset Impairment
Initiate Impairment
Post Impairment
Verify Impairment
Run Depreciation and Accounting
Impairment accounting
189
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Fixed Assets 31
Asset Retirement
Setup Retirement Options
Setup Retirement Accounts
Partial Vs Full Retirement
Setup Cost of Removal A/c
Setup Distribution Set
190
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Fixed Assets 32
Asset Retirement
Initiate Retirement
View Retirement
Prepare Retirement
Post Retirement
Depreciation and Create Accounting
View Retirement Accounting
Related AR and AP Accounting 191
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Fixed Assets 33
Asset Reinstatement
What is Reinstatement
Perform Reinstatement
Depreciation and Create Accounting
View Reinstatement Accounting
Reinstatement Limitations
192
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Fixed Assets 34
Unplanned Depreciation
What is Unplanned Depreciation
Amortised Vs Expensed
Initiate Unplanned Depreciation
Submit Unplanned Depreciation
Run Depreciation and Accounting
View Depreciation and Monthly Depreciation
194
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Fixed Assets 36
Security by Book
R12 Model of Security
Fusion Model of Security
R12 Responsibilities
Fusion Roles
195
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Fixed Assets 37
196
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Fixed Assets 38
What-If Depreciation
Specify Hypothetical Assets
Create Depreciation Scenario
View What-If Depreciation
197
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Fixed Assets 39
Suspend/Resume Depreciation
Suspend Depreciation
Run Depreciation and Accounting
Resume Depreciation
View Depreciation Trail
198
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Fixed Assets 40
200
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Fixed Assets 42
201
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Cash Mgmt 1
Implementation Project
Configure Offerings
Create Implementation Project
Login to Fusion
202
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Cash Mgmt 2
203
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Cash Mgmt 3
204
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Cash Mgmt 4
205
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Cash Mgmt 5
Bank Statements
Enter Bank Statements
Bank Statement Controls
Bank Statement Lines
206
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Cash Mgmt 6
Clearing
Clearing Receipts
Clearing Payments
Accounting for Clearing
207
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Cash Mgmt 7
Manual Reconciliation
Reconciliation Tolerance Rules
Assign Tolerance Rules
Reconcile Receipts
Reconcile Payments
Create External Transactions
Accounting
208
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Cash Mgmt 7
Auto Reconciliation
Reconciliation Tolerance Rules
Reconciliation Matching Rules
Assign Rules
Run Auto Reconciliation
View Reconciliation Status
Accounting
209
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Cash Mgmt 8
External Transactions
What are External Transactions
Create External Transaction Creation Rules
Assign Rules
Enter External Transactions Manually
Reconcile External Transactions
210
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Cash Mgmt 9
212
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Cash Mgmt 11
213
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Cash Mgmt 12
Cash Forecasting
What is Cash Forecasting
Enter Receivables Invoices
Enter Payables Invoices
View Cash Forecast
Drill-down from Forecast to Invoices
214
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Cash Mgmt 13
Cash Positioning
What is Cash Positioning
Fusion Vs EBS Functionality
Payment Documents
Receipt Class and Payment Methods
215
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Cash Mgmt 14
Cash Positioning…(2)
Bank Statements
Intraday Bank Statements
Cash Position Data Processes
View Cash Position
216
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Cash Mgmt 15
Cash Positioning…(3)
Creating Payees
Ad Hoc Payment Approval Rules
Creating Ad Hoc Payments
Creating Manual Transactions
Bank Account Groups
View Cash Position
217
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Cash Mgmt 16
Bank Transfers
Concept and Example
Bank Transfer Accounting
Bank Transfer within/Between Legal Entities
Bank Transfer Setups Summary
Bank Transfer Transaction Flow Summary
218
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Cash Mgmt 17
Bank Transfers…(2)
Payment Methods
Payment Process Profiles
Creating Bank Transfer
Bank Transfer Approval
Formatting
219
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Cash Mgmt 18
Bank Transfers…(3)
Bank Transfer Inflow and Outflow
Bank Transfer Reconciliation
Bank Transfer Accounting
220
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Cash Mgmt 19
Bank Transfers…(4)
Bank Transfer - Electronic
Bank Transfer - Check
Bank Transfer - With Confirmation
External Cash Transactions
SLA Rules for Bank Transfers
221
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Tax Management 1
Implementation Project
Configure Offerings
Create Implementation Project
Login to Fusion
222
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Tax Management 2
Roles
Understand Roles for Tax
Acces Oracle Identity Manager
Access Users in OIM
Assign Roles
223
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Tax Management 3
Tax Model
Tax for the Country
Different States have different Tax Rates
Item Specific Taxation
Customer/Supplier Specific taxation
Tax Recovery
224
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Tax Management 4
Tax Regimes
Create a Tax Regime
Assign Applicable Legal Entities, BUs
225
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Tax Management 5
Taxes
Create a Tax
Setup Tax Point Basis
Set Exceptions/Exemptions Applicability
Set Recovery Options
Set Tax Accounts
226
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Tax Management 6
Tax Statuses
Create a Tax Status
Set Exceptions/Exemptions Applicability
227
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Tax Management 7
Tax Jurisdictions
Create a Tax Jurisdiction
Specify Tax Accounts
Specify Tax Rates
Tax Accounts for Tax Rate Periods
228
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Tax Management 8
229
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Tax Management 9
Tax Rules
Create Tax Applicability Rule
Create Place of Supply Rule
Create Taxable Basis Rule
Create Tax Calculation Rules
230
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Tax Management 10
232
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Tax Management 12
233
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Tax Management 13
Item Exceptions
Create an Item Exception
Specify an Exception Rate
Special Rates Vs Discount/Surcharge
Enter a n Invoice
Verify Tax based on Item Exception Rate
234
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Tax Management 14
Party Exemptions
Create Party Tax Profile
Create Party Exemption
Special Rate Vs Discount/Surcharge
Specify Party Exemption Rate/Discount
Enter a Receivables Invoice
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Tax Management 15
Party Exemptions
Save Invoice and View Tax
Verify Tax based on Party Exemption
Precedence in Exceptions and Exemptions
Tax Accounting
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Tax Management 16
Non-US Transactions
Tax Regime Country is United States
Enter a Receivables Invoice for Non-US
Save Invoice and View Tax
Verify US Tax Regime is not applied
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Tax Management 17
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Tax Management 18
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Tax Management 19
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Tax Management 21
Party Classifications
Create a Tax Rate
Create Party Classifications
Create Tax Determining Factor Set
Create Tax Condition Set
Specify Special Rate for Party Classifications
Verify Tax on Transactions
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Tax Management 23
Fiscal Classifications
Create a Tax Rate
Create Fiscal Classifications
Create Tax Determining Factor Set
Create Tax Condition Set
Specify Special Rate for Fiscal Class
Verify Tax on Transactions
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Tax Management 24
Tax Simulator
Simulator Transactions
Real Transactions
Viewing Applicable Rules
Viewing Results
Copying Real Transactions to Simulator
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Tax Management 25
Withholding Tax
What is Withholding Tax
Setup Tax Calculation Point
Setup Tax Invoice Creation Point
Setup Withholding Tax Accounts
Setup Distribution Set
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Tax Management 26
Withholding Tax
Withholding Tax Regime
Withholding Taxes
Withholding Tax Statuses
Withholding Tax Rates
Withholding Tax Jurisdiction
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Tax Management 27
Withholding Tax
Withholding Tax Codes
Withholding Tax Groups/Classifications
Setting up Suppliers
Enter a Payables Invoice
Save and Validate Invoice
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Tax Management 28
Withholding Tax
Verify Withholding Tax Application
Payments
Verify Tax Invoice Generation
Payment of Withholding Tax
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Tax Management 29
1099 Tax
What is 1099 Tax
1099 Income Tax Types
Setting up 1099 Tax
Configure Suppliers for 1099 Reporting
Verify Tax Applied on Payables Invoice
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Tax Management 30
1099 Tax
Payment of Original Invoices
Auto Generation of 1099 Tax Invoices
Payment of Withholding Tax
Withholding Tax Accounting
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Tax Management 31
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Approvals, Roles 1
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Approvals, Roles 2
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Approvals, Roles 3
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Approvals, Roles 4
Approval Types
Supervisory
Job Level
Position
Approval Groups
Resource
Management Chain
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Approvals, Roles 5
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Approvals, Roles 6
Parallel Approvals
Participant Boxes
Approvals in same Participant Box
Approvals across Participant Boxes
Parallel in Supervisory
Parallel in Approval Groups
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Approvals, Roles 9
Substitution Rules
Creating Substitution Rule
Creating Invoice
Submitting for Approval
Verify Substitution
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Approvals, Roles 10
Substitution Rules
Creating Substitution Rule
Creating Invoice
Submitting for Approval
Verify Substitution
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Approvals, Roles 11
Vacation Rules
Enabling Vacation Rules
Setting up Vacation Rules
Reassignment
Delegation
Transaction Flow
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Approvals, Roles 12
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Approvals, Roles 13
Reminder Notifications
Reminder Options
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Approvals, Roles 14
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Approvals, Roles 15
Applicability of Rules
When Rules Overlap
When none of the Rules apply
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Approvals, Roles 16
FYI Notifications
Setting up FYI Rules
Generating FYI Notifications
Transaction Flow
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Approvals, Roles 17
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Approvals, Roles 18
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Approvals, Roles 19
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Approvals, Roles 20
Basic Components
Resources
Entitlements
Application Roles
External Roles
Authorisation Policies
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Approvals, Roles 21
Role Templates
Basic Role Templates in Fusion
Function of Role Templates
Data Roles Vs Job Roles
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Approvals, Roles 22
Configuration Packages
Example
Copying Configuarations across Instances
Preparing Configuration Package
Download Package
Uploading Cfg Package in another Instance
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Update: Rel-12 1
Security Console
What is Security Console
Roles required for Console Access
Resources
Privileges
Job Roles
Abstract Roles
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Update: Rel-12 2
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Update: Rel-12 6
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