Oracle General Ledger User Guide Manual R12

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Oracle General Ledger User's Guide Browser version script Oracle General Ledger User's Guide Release 12.1 Part Number E13627-04 Journal Entry The General Ledger Accounting Cycle General Ledger Accounting Cycle After you set up your ledger, follow these steps to enter, maintain, and report on actual accounting information for your enterprise:. Open an accounting period.

  1. Oracle General Ledger User Guide Manual R12.1.3

See: Opening and Closing Accounting Periods, Oracle General Ledger Implementation Guide. Enter manual journal entries, including:.

Standard journal entries. Entered currency journal entries. Statistical journal entries.

Intercompany and Intracompany Balancing. Import journals from subledgers. If you encounter an error when trying to import a subledger journal, you can correct the import data and rerun journal import. Define recurring journal formulas for transactions that have a common format or that you enter frequently.

You can also create recurring journal formulas to create allocation entries. You can use recurring journals to create three types of journal entries:. Skeleton entries affect the same accounts each period, but have different posting amounts.

Standard recurring journal entries use the same accounts and amounts each period. Formula entries use formulas to calculate journal amounts that vary from period to period. Define MassAllocation formulas to allocate a cost pool across a group of departments, companies, ledgers, etc.

Generate recurring journal and MassAllocation journal batches based on formulas you defined. Review the details of your unposted journal batches. To view and optionally change unposted journal batches online, use the Enter Journals window. To view unposted journal batch detail online, use the Journal Inquiry window. To print a report showing unposted batch detail, produce a Journals - General report (set the Posting Status parameter to unposted). Edit unposted journals to change information about an unposted batch or its journal detail, including the batch period and the journal currency. Post your journal batches manually or automatically.

Check for posting errors. General Ledger automatically produces a Posting Execution Report so you can check the results of your posting. This report notifies you of any errors.

Reverse journals. You can reverse a posted or unposted journal entry. Once you assign a reversing period to the journal, generate and post the reversing batch. Revalue your foreign-denominated assets and liabilities to reflect exchange rate fluctuations at the end of each accounting period. Translate your actual account balances to any foreign currency for reporting purposes.

Consolidate ledgers by defining and running a consolidation. You can consolidate ledgers that have different charts of accounts and calendars. Produce financial reports and perform online inquiries to review current account balances. Review account balances online using the Account Inquiry window. Review posted journal details in the Posted Journals Report, as well as in the General Ledger and Account Analysis reports. You can also define an unlimited variety of custom reports using the Financial Statement Generator to review account balances in the format of your choice.

Enter journals to clear suspense account balances. Examine General Ledger and Account Analysis reports to identify the source of suspense account entries. Close the current accounting period. See: Opening and Closing Accounting Periods, Oracle General Ledger Implementation Guide. For Year-End Closing information, see: and. Open the next accounting period. Entering Journals This section discusses various topics related to entering journals, including journal batches, journal and journal lines, taxable journals, entered currency journals, statistical journals, automatically copying journals, checking or reserving funds, and approving journals.

Creating Journal Batches You can organize journal entries with common attributes into batches. For example, you might group your journal entries by type or date. You can have multiple journals in one batch, or you can have a separate batch for each journal entry. A batch can contain multiple journals, each of which can belong to a different ledger, but all of the ledgers within a batch must have the same calendar, period type, and chart of accounts. All journal entries in a batch must share the same period.

You can create a journal batch for any Open or Future Enterable accounting period, but you can only post batches in Open accounting periods. If you do not want to enter batch information, you can enter a journal directly. General Ledger will create a batch for the entry automatically, using the source (Manual) combined with a unique batch ID and the system date.

Note: If budgetary control is enabled, all journals in a batch must be entered for the same ledger. Data Access Set The data access set assigned to your user responsibility controls whether or not you can enter, modify, delete, post, and view journal batches for your ledger. Full Read and Write Access: You can enter, modify, delete, post, and view journal batches for your ledger if your data access set provides full read and write access.

Oracle General Ledger User's Guide Browser version script Oracle General Ledger User's Guide Release 12.1 Part Number E13627-04 Preface Intended Audience Welcome to Release 12.1 of the Oracle General Ledger User's Guide. This guide assumes you have a working knowledge of the following:. The principles and customary practices of your business area. Computer desktop application usage and terminology If you have never used Oracle Applications, we suggest you attend one or more of the Oracle Applications training classes available through Oracle University.

See Related Information Sources for more Oracle E-Business Suite product information. Deaf/Hard of Hearing Access to Oracle Support Services To reach Oracle Support Services, use a telecommunications relay service (TRS) to call Oracle Support at 1.800.223.1711. An Oracle Support Services engineer will handle technical issues and provide customer support according to the Oracle service request process. Information about TRS is available at and a list of phone numbers is available at Documentation Accessibility Our goal is to make Oracle products, services, and supporting documentation accessible to all users, including users that are disabled.

To that end, our documentation includes features that make information available to users of assistive technology. This documentation is available in HTML format, and contains markup to facilitate access by the disabled community. Accessibility standards will continue to evolve over time, and Oracle is actively engaged with other market-leading technology vendors to address technical obstacles so that our documentation can be accessible to all of our customers.

For more information, visit the Oracle Accessibility Program Web site at Accessibility of Code Examples in Documentation Screen readers may not always correctly read the code examples in this document. The conventions for writing code require that closing braces should appear on an otherwise empty line; however, some screen readers may not always read a line of text that consists solely of a bracket or brace.

Accessibility of Links to External Web Sites in Documentation This documentation may contain links to Web sites of other companies or organizations that Oracle does not own or control. Oracle neither evaluates nor makes any representations regarding the accessibility of these Web sites. Structure1 Journal Entry 2 Budgeting 3 Encumbrance Accounting 4 Average Balance Processing 5 Online Inquiries 6 Financial Reporting 7 Maintenance 8 Global Consolidation System 9 Multi-Currency 10 Standard Reports and Listings 11 Journal or Subledger-Level Reporting Currencies A Using Attachments in General Ledger Related Information Sources This document is included on the Oracle Applications Document Library, which is supplied in the Release 12 DVD Pack. You can download soft-copy documentation as PDF files from the Oracle Technology Network at or you can purchase hard-copy documentation from the Oracle Store at The Oracle E-Business Suite Documentation Library Release 12 contains the latest information, including any documents that have changed significantly between releases.

If substantial changes to this book are necessary, a revised version will be made available on the online documentation CD on My Oracle Support. If this guide refers you to other Oracle Applications documentation, use only the Release 12 versions of those guides. For a full list of documentation resources for Oracle Applications Release 12, see Oracle Applications Documentation Resources, Release 12, My Oracle Support Document 394692.1. Online Documentation All Oracle Applications documentation is available online (HTML or PDF). PDF - PDF documentation is available for download from the Oracle Technology Network at. Online Help - Online help patches (HTML) are available on My Oracle Support.

About Documents - Refer to the About Document for the mini-pack or family pack that you have installed to learn about new documentation or documentation patches that you can download. About Documents are available on My Oracle Support. My Oracle Support Knowledge Browser - The My Oracle Support Knowledge Browser lets you browse the knowledge base, from a single product page, to find all documents for that product area. Use the Knowledge Browser to search for release-specific information, such as FAQs, recent patches, alerts, white papers, troubleshooting tips, and other archived documents. Oracle eBusiness Suite Electronic Technical Reference Manuals - Each Electronic Technical Reference Manual (eTRM) contains database diagrams and a detailed description of database tables, forms, reports, and programs for a specific Oracle Applications product. This information helps you convert data from your existing applications and integrate Oracle Applications data with non-Oracle applications, and write custom reports for Oracle Applications products. Oracle eTRM is available on My Oracle Support.

Related Guides You should have the following related books on hand. Depending on the requirements of your particular installation, you may also need additional manuals or guides. Oracle E-Business Suite Installation Guide: Using Rapid Install: This book is intended for use by anyone who is responsible for installing or upgrading Oracle Applications. It provides instructions for running Rapid Install either to carry out a fresh installation of Oracle Applications Release 12, or as part of an upgrade from Release 11i to Release 12. The book also describes the steps needed to install the technology stack components only, for the special situations where this is applicable. Oracle E-Business Suite Upgrade Guide: Release 11i to Release 12: This guide provides information for DBAs and Applications Specialists who are responsible for upgrading a Release 11i Oracle Applications system (techstack and products) to Release 12.

In addition to information about applying the upgrade driver, it outlines pre-upgrade steps and post-upgrade steps, and provides descriptions of product-specific functional changes and suggestions for verifying the upgrade and reducing downtime. Oracle E-Business Suite Patching Procedures: This guide describes how to patch the Oracle Applications file system and database using AutoPatch, and how to use other patching-related tools like AD Merge Patch, OAM Patch Wizard, and OAM Registered Flagged Files. Describes patch types and structure, and outlines some of the most commonly used patching procedures. Part of Maintaining Oracle Applications, a 3-book set that also includes Oracle Applications Maintenance Utilities and Oracle Applications Maintenance Procedures. Oracle E-Business Suite Maintenance Utilities: This guide describes how to run utilities, such as AD Administration and AD Controller, used to maintain the Oracle Applications file system and database.

Outlines the actions performed by these utilities, such as monitoring parallel processes, generating Applications files, and maintaining Applications database entities. Part of Maintaining Oracle Applications, a 3-book set that also includes Oracle Applications Patching Procedures and Oracle Applications Maintenance Procedures. Oracle E-Business Suite Maintenance Procedures: This guide describes how to use AD maintenance utilities to complete tasks such as compiling invalid objects, managing parallel processing jobs, and maintaining snapshot information. Part of Maintaining Oracle Applications, a 3-book set that also includes Oracle Applications Patching Procedures and Oracle Applications Maintenance Utilities. Oracle E-Business Suite Concepts: This book is intended for all those planning to deploy Oracle E-Business Suite Release 12, or contemplating significant changes to a configuration.

Oracle r12 user manual

After describing the Oracle Applications architecture and technology stack, it focuses on strategic topics, giving a broad outline of the actions needed to achieve a particular goal, plus the installation and configuration choices that may be available. Oracle Advanced Global Intercompany System User’s Guide: This guide describes the self service application pages available for Intercompany users.

It includes information on setting up intercompany, entering intercompany transactions, importing transactions from external sources and generating reports. Oracle Advanced Collections User Guide: This guide describes how to use the features of Oracle Advanced Collections to manage your collections activities. It describes how collections agents and managers can use Oracle Advanced Collections to identify delinquent customers, review payment history and aging data, process payments, use strategies and dunning plans to automate the collections process, manage work assignments, and handle later-stage delinquencies. Oracle Advanced Collections Implementation Guide: This guide describes how to configure Oracle Advanced Collections and its integrated products. It contains the steps required to set up and verify your implementation of Oracle Advanced Collections.

Oracle E-Business Suite Multiple Organizations Implementation Guide: This guide describes the multiple organizations concepts in Oracle Applications. It describes in detail on setting up and working effectively with multiple organizations in Oracle Applications.

Oracle Assets User Guide: This guide provides you with information on how to implement and use Oracle Assets. Use this guide to understand the implementation steps required for application use, including defining depreciation books, depreciation method, and asset categories. It also contains information on setting up assets in the system, maintaining assets, retiring and reinstating assets, depreciation, group depreciation, accounting and tax accounting, budgeting, online inquiries, impairment processing, and Oracle Assets reporting. The guide explains using Oracle Assets with Multiple Reporting Currencies (MRC). This guide also includes a comprehensive list of profile options that you can set to customize application behavior.

Oracle Balanced Scorecard User Guide: This guide describes how to use Oracle Balanced Scorecard to manage performance. It contains information on how to use scorecard views and objective reports. Oracle Balanced Scorecard Administrator Guide: This guide describes how to set up and administer Oracle Balanced Scorecard and scorecard systems. For scorecard designers, this guide explains how to design and prototype scorecards and measures.

It also explains how to move scorecards into production. For administrators, this guide explains how to generate the database schema; load data; manage user and scorecard security; and migrate scorecards to other instances. Oracle Balanced Scorecard Install Guide: This guide describes how to how to install the Balanced Scorecard Architect components. Oracle Bill Presentment Architecture User Guide: This guide provides you information on using Oracle Bill Presentment Architecture. Consult this guide to create and customize billing templates, assign a template to a rule and submit print requests. This guide also provides detailed information on page references, seeded content items and template assignment attributes. Oracle Cash Management User Guide: This guide describes how to use Oracle Cash Management to clear your receipts, as well as reconcile bank statements with your outstanding balances and transactions.

This manual also explains how to effectively manage and control your cash cycle. It provides comprehensive bank reconciliation and flexible cash forecasting. Oracle Credit Management User Guide: This guide provides you with information on how to use Oracle Credit Management. This guide includes implementation steps, such as how to set up credit policies, as well as details on how to use the credit review process to derive credit recommendations that comply with your credit policies. This guide also includes detailed information about the public application programming interfaces (APIs) that you can use to extend Oracle Credit Management functionality. Oracle Customers Online User Guide: This guide describes how to use Oracle Customers Online to view, create, and maintain your customer information. Oracle Customers Online is based on Oracle Trading Community Architecture data model and functionality, and is also part of the Oracle Customer Data Management product family.

Oracle Customers Online Implementation Guide: This guide describes how to implement Oracle Customers Online. Oracle Daily Business Intelligence Implementation Guide: This guide describes how to implement Oracle Daily Business Intelligence, including information on how to create custom dashboards, reports, and key performance indicators.

Oracle Daily Business Intelligence User Guide: This guide describes how to use the preseeded Daily Business Intelligence dashboards, reports, and key performance indicators. Oracle Data Librarian User Guide: This guide describes how to use Oracle Data Librarian to establish and maintain the quality of the Trading Community Architecture Registry, focusing on consolidation, cleanliness, and completeness. Oracle Customer Data Librarian has all of the features in Oracle Customers Online, and is also part of the Oracle Customer Data Management product family. Oracle Data Librarian Implementation Guide: This guide describes how to implement Oracle Data Librarian. As part of implementing Data Librarian, you must also complete all the implementation steps for Oracle Customers Online. Oracle E-Business Tax User Guide: This guide describes the entire process of setting up and maintaining tax configuration data, as well as applying tax data to the transaction line.

It describes the entire regime-to-rate setup flow of tax regimes, taxes, statuses, rates, recovery rates, tax jurisdictions, and tax rules. It also describes setting up and maintaining tax reporting codes, fiscal classifications, tax profiles, tax registrations, configuration options, and third party service provider subscriptions.

You also use this manual to maintain migrated tax data for use with E-Business Tax. Oracle E-Business Tax Implementation Guide: This guide provides a conceptual overview of the E-Business Tax tax engine, and describes the prerequisite implementation steps to complete in other applications in order to set up and use E-Business Tax. The guide also includes extensive examples of setting up country-specific tax requirements.

Oracle E-Business Tax Reporting Guide: This guide explains how to run all tax reports that make use of the E-Business Tax data extract. This includes the Tax Reporting Ledger and other core tax reports, country-specific VAT reports, and Latin Tax Engine reports.

Oracle E-Business Tax: Vertex Q-Series and Taxware Sales/Use Tax System Implementation Guide This guide explains how to setup and use the services of third party tax service providers for US Sales and Use tax. The tax service providers are Vertex Q-Series and Taxware Sales/Use Tax System. When implemented, the Oracle E-Business Tax service subscription calls one of these tax service providers to return a tax rate or amount whenever US Sales and Use tax is calculated by the Oracle E-Business Tax tax engine. This guide provides setup steps, information about day-to-day business processes, and a technical reference section. Oracle Embedded Data Warehouse User Guide: This guide describes how to use Embedded Data Warehouse reports and workbooks to analyze performance.

Oracle Embedded Data Warehouse Implementation Guide: This guide describes how to implement Embedded Data Warehouse, including how to set up the intelligence areas. Oracle Embedded Data Warehouse Install Guide: This guide describes how to install Embedded Data Warehouse, including how to create database links and create the end user layer (EUL). Oracle Enterprise Performance Foundation User's Guide: This guide describes Oracle Enterprise Performance Foundation, an open and shared repository of data and business rules that provides the framework for all of the applications in the Corporate Performance Management set of products. It describes the product features that allow you to manage repository metadata and enable you to generate management reports and perform analyses.

Oracle Enterprise Planning and Budgeting User's Guide: This guide describes Enterprise Planning and Budgeting, which is an enterprise application that provides rich functionality to control the business processes of planning, budgeting, and forecasting. Enterprise Planning and Budgeting is deployed as a Web based solution using the power of Oracle relational technology to deliver scalable, multi-dimensional analysis and monitoring. Oracle Financial Consolidation Hub User Guide: This guide describes how to set up, maintain, and troubleshoot Oracle Financial Consolidation Hub.

It describes setting up entities, categories, consolidation methods, consolidation rules, intercompany rules, calendar maps, translation, consolidation hierarchies, analytical reporting, and the Excel add-in. The guide also includes chapters on submitting data, running consolidations, accounting for acquisitions and disposals, integrating with Internal Controls Manager and WebADI spreadsheets. Oracle Financial Services Reference Guide: This guide provides reference material for Oracle Financial Services applications in Release 12, such as Oracle Transfer Pricing, and includes technical details about application use as well as general concepts, equations, and calculations. Oracle Financial Services Implementation Guide: This guide describes how to set up Oracle Financial Services applications in Release 12. Oracle Financial Services Reporting Administration Guide: This guide describes the reporting architecture of Oracle Financial Services applications in Release 12, and provides information on how to view these reports.

Oracle Financials and Oracle Procurement Functional Upgrade Guide: Release 11i to Release 12: This guides provides detailed information about the functional impacts of upgrading Oracle Financials and Oracle Procurement products from Release 11i to Release 12. This guide supplements the Oracle Applications Upgrade Guide: Release 11i to Release 12. Oracle Financials Concepts Guide: This guide describes the fundamental concepts of Oracle Financials. The guide is intended to introduce readers to the concepts used in the applications, and help them compare their real world business, organization, and processes to those used in the applications.

Oracle Financials Country-Specific Installation Supplement: This guide provides general country information, such as responsibilities and report security groups, as well as any post-install steps required by some countries. Oracle Financials for the Americas User Guide: This guide describes functionality developed to meet specific business practices in countries belonging to the Americas region. Consult this user guide along with your financial product user guides to effectively use Oracle Financials in your country. For a list of country-specific General Ledger reports that are documented in this guide, see Oracle Financials for Asia/Pacific User Guide: This guide describes functionality developed to meet specific business practices in countries belonging to the Asia/Pacific region. Consult this user guide along with your financial product user guides to effectively use Oracle Financials in your country. For a list of country-specific General Ledger reports that are documented in this guide, see Oracle Financials for Europe User Guide: This guide describes functionality developed to meet specific business practices in countries belonging to the European region. Consult this user guide along with your financial product user guides to effectively use Oracle Financials in your country.

For a list of country-specific General Ledger reports that are documented in this guide, see Oracle Financials for India User Guide: This guide provides information on how to use Oracle Financials for India. Use this guide to learn how to create and maintain setup related to India taxes, defaulting and calculation of taxes on transactions. This guide also includes information about accounting and reporting of taxes related to India.

Oracle Financials for India Implementation Guide: This guide provides information on how to implement Oracle Financials for India. Use this guide to understand the implementation steps required for application use, including how to set up taxes, tax defaulting hierarchies, set up different tax regimes, organization and transactions. Oracle Financials Implementation Guide: This guide provides information on how to implement the Oracle Financials E-Business Suite.

It guides you through setting up your organizations, including legal entities, and their accounting, using the Accounting Setup Manager. It covers intercompany accounting and sequencing of accounting entries, and it provides examples. Oracle Financials RXi Reports Administration Tool User Guide: This guide describes how to use the RXi reports administration tool to design the content and layout of RXi reports.

RXi reports let you order, edit, and present report information to better meet your company's reporting needs. Oracle General Ledger Implementation Guide: This guide provides information on how to implement Oracle General Ledger. Use this guide to understand the implementation steps required for application use, including how to set up Accounting Flexfields, Accounts, and Calendars. Oracle General Ledger Reference Guide This guide provides detailed information about setting up General Ledger Profile Options and Applications Desktop Integrator (ADI) Profile Options. Oracle Incentive Compensation Implementation Guide: This guide provides Compensation Administrators with guidance during implementation of Oracle Incentive Compensation. The procedures are presented in the recommended order that they should be performed for successful implementation.

Appendixes are included that describe system profiles, lookups, and other useful information. Oracle Incentive Compensation User Guide: This guide helps Compensation Managers, Compensation Analysts, and Plan administrators to manage Oracle Incentive Compensation on a day-to-day basis. Learn how to create and manage rules hierarchies, create compensation plans, collect transactions, calculate and pay commission, and use Sales Credit Allocation. Oracle Internal Controls Manager Implementation Guide: This guide describes implementation information for Oracle Internal Controls Manager, a comprehensive tool for executives, controllers, internal audit departments, and public accounting firms to document and test internal controls and monitor ongoing compliance.

It is based on COSO (Committee of Sponsoring Organizations) standards. Oracle Internet Expenses Implementation and Administration Guide: This book explains in detail how to configure Oracle Internet Expenses and describes its integration with other applications in the E-Business Suite, such as Oracle Payables and Oracle Projects. Use this guide to understand the implementation steps required for application use, including how to set up policy and rate schedules, credit card policies, audit automation, and the expenses spreadsheet. This guide also includes detailed information about the client extensions that you can use to extend Oracle Internet Expenses functionality.

Oracle iAssets User Guide This guide provides information on how to implement and use Oracle iAssets. Use this guide to understand the implementation steps required for application use, including setting up Oracle iAssets rules and related product setup steps. It explains how to define approval rules to facilitate the approval process. It also includes information on using the Oracle iAssets user interface to search for assets, create self-service transfer requests and view notifications. Oracle iProcurement Implementation and Administration Guide: This manual describes how to set up and administer Oracle iProcurement. Oracle iProcurement enables employees to requisition items through a self–service, Web interface.

Oracle iReceivables Implementation Guide: This guide provides information on how to implement Oracle iReceivables. Use this guide to understand the implementation steps required for application use, including how to set up and configure iReceivables, and how to set up the Credit Memo Request workflow. There is also a chapter that provides an overview of major features available in iReceivables. Oracle iSupplier Portal User Guide: This guide contains information on how to use Oracle iSupplier Portal to enable secure transactions between buyers and suppliers using the Internet. Using Oracle iSupplier Portal, suppliers can monitor and respond to events in the procure-to-pay cycle. Oracle iSupplier Portal Implementation Guide: This guide contains information on how to implement Oracle iSupplier Portal and enable secure transactions between buyers and suppliers using the Internet. Oracle Loans User Guide: This guide describes how to set up and use Oracle Loans.

It includes information on how to create, approve, fund, amortize, bill, and service extended repayment plan and direct loans. Oracle Partner Management Implementation and Administration Guide: This guide helps Vendor administrators to set up and maintain relationships and programs in the Partner Management application.

The main areas include setting up the partner and channel manager dashboards, partner setup, partner programs and enrollment, opportunity and referral management, deal registration, special pricing management, and partner fund management. Oracle Partner Management Vendor User Guide: This guide assists vendor users in using Partner Management on a daily basis.

This includes interaction with the partner and channel manager dashboards, working with partners and partner programs, managing opportunities and referrals, registering deals, and working with special pricing and partner funds. Oracle Payables User Guide: This guide describes how to use Oracle Payables to create invoices and make payments. In addition, it describes how to enter and manage suppliers, import invoices using the Payables open interface, manage purchase order and receipt matching, apply holds to invoices, and validate invoices. It contains information on managing expense reporting, procurement cards, and credit cards.

Oracle General Ledger User Guide Manual R12.1.3

This guide also explains the accounting for Payables transactions. Oracle Payables Implementation Guide: This guide provides you with information on how to implement Oracle Payables. Use this guide to understand the implementation steps required for how to set up suppliers, payments, accounting, and tax. Oracle Payables Reference Guide: This guide provides you with detailed information about the Oracle Payables open interfaces, such as the Invoice open interface, which lets you import invoices. It also includes reference information on purchase order matching and purging purchasing information. Oracle Payments Implementation Guide: This guide describes how Oracle Payments, as the central payment engine for the Oracle E-Business Suite, processes transactions, such as invoice payments from Oracle Payables, bank account transfers from Oracle Cash Management, and settlements against credit cards and bank accounts from Oracle Receivables. This guide also describes how Oracle Payments is integrated with financial institutions and payment systems for receipt and payment processing, known as funds capture and funds disbursement, respectively.

Additionally, the guide explains to the implementer how to plan the implementation of Oracle Payments, how to configure it, set it up, test transactions, and how use it with external payment systems. Oracle Payments User Guide: This guide describes how Oracle Payments, as the central payment engine for the Oracle E-Business Suite, processes transactions, such as invoice payments from Oracle Payables, bank account transfers from Oracle Cash Management, and settlements against credit cards and bank accounts from Oracle Receivables. This guide also describes to the Payment Administrator how to monitor the funds capture and funds disbursement processes, as well as how to remedy any errors that may arise.

Oracle Procurement Buyer’s Guide to Punchout and Transparent Punchout: This guide contains necessary information for customers implementing remote catalog content on a supplier’s Web site or on Oracle Exchange. Oracle Procurement Contracts Online Help: This guide is provided as online help only from the Oracle Procurement Contracts application and includes information about creating and managing your contract terms library. Oracle Procurement Contracts Implementation and Administration Guide: This guide describes how to set up and administer Oracle Procurement Contracts.

Oracle Procurement Contracts enables employees to author and maintain complex contracts through a self–service, Web interface. Oracle Profitability Manager User's Guide: This guide describes Profitability Manager, which provides a rich set of features that support complex models to analyze your business. These features include a powerful allocation engine that supports many allocation methodologies, Activity-Based Management calculations that provide activity costs, rolled up costs and statistics, activity rates, and cost object unit costs, and customer profitability calculations to consolidate customer accounts, aggregate customer data, and determine profitability results. Oracle Public Sector Advanced Features User's Guide: This guide describes how to set up and administer Oracle Public Sector Advanced Features. It describes Encumbrance Reconciliation Reports, GASB 34/35 Asset Accounting, and Funds Available Enhancements. Oracle Purchasing User’s Guide: This guide describes how to create and approve purchasing documents, including requisitions, different types of purchase orders, quotations, RFQs, and receipts.

This guide also describes how to manage your supply base through agreements, sourcing rules, and approved supplier lists. In addition, this guide explains how you can automatically create purchasing documents based on business rules through integration with Oracle Workflow technology, which automates many of the key procurement processes. Oracle Receivables User Guide: This guide provides you with information on how to use Oracle Receivables. Use this guide to learn how to create and maintain transactions and bills receivable, enter and apply receipts, enter customer information, and manage revenue. This guide also includes information about accounting in Receivables. Use the Standard Navigation Paths appendix to find out how to access each Receivables window.

Oracle Receivables Implementation Guide: This guide provides you with information on how to implement Oracle Receivables. Use this guide to understand the implementation steps required for application use, including how to set up customers, transactions, receipts, accounting, tax, and collections. This guide also includes a comprehensive list of profile options that you can set to customize application behavior.

Oracle Receivables Reference Guide: This guide provides you with detailed information about all public application programming interfaces (APIs) that you can use to extend Oracle Receivables functionality. This guide also describes the Oracle Receivables open interfaces, such as AutoLockbox which lets you create and apply receipts and AutoInvoice which you can use to import and validate transactions from other systems. Archiving and purging Receivables data is also discussed in this guide. Oracle Sourcing Implementation and Administration Guide: This guide contains information on how to implement Oracle Sourcing to enable participants from multiple organizations to exchange information, conduct bid and auction processes, and create and implement buying agreements. This allows professional buyers, business experts, and suppliers to participate in a more agile and accurate sourcing process. Oracle Subledger Accounting Implementation Guide: This guide provides setup information for Oracle Subledger Accounting features, including the Accounting Methods Builder.

You can use the Accounting Methods Builder to create and modify the setup for subledger journal lines and application accounting definitions for Oracle subledger applications. This guide also discusses the reports available in Oracle Subledger Accounting and describes how to inquire on subledger journal entries. Oracle Supplier Scheduling User’s Guide: This guide describes how you can use Oracle Supplier Scheduling to calculate and maintain planning and shipping schedules and communicate them to your suppliers. Oracle iProcurement Implementation and Administration Guide: This manual describes how to set up and administer Oracle iProcurement. Oracle iProcurement enables employees to requisition items through a self–service, Web interface. Oracle Procurement Contracts Implementation and Administration Guide: This manual describes how to set up and administer Oracle Procurement Contracts.

Oracle Procurement Contracts enables employees to author and maintain complex contracts through a self–service, Web interface. Oracle Trading Community Architecture User Guide: This guide describes the Oracle Trading Community Architecture (TCA) and how to use features from the Trading Community Manager responsibility to create, update, enrich, and cleanse the data in the TCA Registry. It also describes how to use Resource Manager to define and manage resources. Oracle Trading Community Architecture Administration Guide: This guide describes how to administer and implement Oracle Trading Community Architecture (TCA). You set up, control, and manage functionality that affects data in the TCA Registry. It also describes how to set up and use Resource Manager to manage resources.

Oracle Trading Community Architecture Reference Guide: This guide contains seeded relationship types, seeded Data Quality Management data, D and B data elements, Bulk Import interface table fields and validations, and a comprehensive glossary. This guide supplements the documentation for Oracle Trading Community Architecture and all products in the Oracle Customer Data Management family.

Oracle Trading Community Architecture Technical Implementation Guide: This guide explains how to use the public Oracle Trading Community Architecture application programming interfaces (APIs) and develop callouts based on Oracle Workflow Business Events System (BES). For each API, this guide provides a description of the API, the PL/SQL procedure, and the Java method, as well as a table of the parameter descriptions and validations. For each BES callout, this guide provides the name of the logical entity, its description, and the ID parameter name. Also included are setup instructions and sample code. Oracle Transfer Pricing User Guide: This guide contains the information you need to understand and use Oracle Transfer Pricing, including how to generate transfer rates and option costs for your product portfolio and determine account level match-funded spreads. Federal Financials User Guide: This guide describes the common concepts for an integrated financial management solution for federal agencies to comply with the requirements of the U.S.

Federal government. It describes the product architecture and provides information on Budget Execution, Prompt Payment, Treasury payments, Third party payments, Interagency transactions, Receivables management, Federal reports, CCR Integration, and Year End Closing. Federal Financials Implementation Guide: This guide describes the common concepts for an integrated financial management solution for federal agencies. It includes a consolidated setup checklist by page and provides detailed information on how to set up, maintain, and troubleshoot the Federal Financial application for the following functional areas: Sub Ledger Accounting, Budget Execution, Prompt Payment, Treasury payments, Third party payments, Interagency transactions, Receivables management, Federal reports, CCR Integration, and Year End Closing. Oracle Projects Documentation Set Oracle Projects Implementation Guide: Use this manual as a guide for implementing Oracle Projects. This manual also includes appendixes covering security functions, menus and responsibilities, and profile options. Oracle Projects Fundamentals: Oracle Project Fundamentals provides the common foundation shared across the Oracle Projects products (Project Costing, Project Billing, Project Resource Management, Project Management, and Project Portfolio Analysis).

Use this guide to learn fundamental information about the Oracle Projects solution. This guide includes a Navigation Paths appendix. Use this appendix to find out how to access each window in the Oracle Projects solution. Oracle Project Costing User Guide: Use this guide to learn detailed information about Oracle Project Costing.

Oracle Project Costing provides the tools for processing project expenditures, including calculating their cost to each project and determining the GL accounts to which the costs are posted. Oracle Project Billing User Guide: This guide shows you how to use Oracle Project Billing to define revenue and invoicing rules for your projects, generate revenue, create invoices, and integrate with other Oracle Applications to process revenue and invoices, process client invoicing, and measure the profitability of your contract projects. Oracle Project Management User Guide: This guide shows you how to use Oracle Project Management to manage projects through their lifecycles - from planning, through execution, to completion. Oracle Project Portfolio Analysis User Guide: This guide contains the information you need to understand and use Oracle Project Portfolio Analysis. It includes information about project portfolios, planning cycles, and metrics for ranking and selecting projects for a project portfolio.

Oracle Project Resource Management User Guide: This guide provides you with information on how to use Oracle Project Resource Management. 1985 suzuki lt 185 service manual. It includes information about staffing, scheduling, and reporting on project resources. Oracle Projects Glossary: This glossary provides definitions of terms that are shared by all Oracle Projects applications. If you are unsure of the meaning of a term you see in an Oracle Projects guide, please refer to the glossary for clarification.

You can find the glossary in the online help for Oracle Projects, and in the Oracle Projects Fundamentals book. Oracle Grants Accounting Documentation Oracle Grants Accounting User Guide: This guide provides you with information about how to implement and use Oracle Grants Accounting. Use this guide to understand the implementation steps required for application use, including defining award types, award templates, allowed cost schedules, and burden set up. This guide also explains how to use Oracle Grants Accounting to track grants and funded projects from inception to final reporting. Oracle Property Manager Documentation Oracle Property Manager User Guide: Use this guide to learn how to use Oracle Property Manager to create and administer properties, space assignments, and lease agreements.

Oracle Property Manager Implementation Guide: Use this guide to learn how to implement Oracle Property Manager and perform basic setup steps such as setting system options and creating lookup codes, contacts, milestones, grouping rules, term templates, and a location hierarchy. This guide also describes the setup steps that you must complete in other Oracle applications before you can use Oracle Property Manager. Integration Repository The Oracle Integration Repository is a compilation of information about the service endpoints exposed by the Oracle E-Business Suite of applications.

It provides a complete catalog of Oracle E-Business Suite's business service interfaces. The tool lets users easily discover and deploy the appropriate business service interface for integration with any system, application, or business partner. The Oracle Integration Repository is shipped as part of the E-Business Suite. As your instance is patched, the repository is automatically updated with content appropriate for the precise revisions of interfaces in your environment. Do Not Use Database Tools to Modify Oracle E-Business Suite Data Oracle STRONGLY RECOMMENDS that you never use SQL.Plus, Oracle Data Browser, database triggers, or any other tool to modify Oracle E-Business Suite data unless otherwise instructed. Oracle provides powerful tools you can use to create, store, change, retrieve, and maintain information in an Oracle database.

But if you use Oracle tools such as SQL.Plus to modify Oracle E-Business Suite data, you risk destroying the integrity of your data and you lose the ability to audit changes to your data. Because Oracle E-Business Suite tables are interrelated, any change you make using an Oracle E-Business Suite form can update many tables at once. But when you modify Oracle E-Business Suite data using anything other than Oracle E-Business Suite, you may change a row in one table without making corresponding changes in related tables. If your tables get out of synchronization with each other, you risk retrieving erroneous information and you risk unpredictable results throughout Oracle E-Business Suite. When you use Oracle E-Business Suite to modify your data, Oracle E-Business Suite automatically checks that your changes are valid. Oracle E-Business Suite also keeps track of who changes information.

If you enter information into database tables using database tools, you may store invalid information. You also lose the ability to track who has changed your information because SQL.Plus and other database tools do not keep a record of changes.

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