ORACLE FUSION FINANCIALS PERIOD CLOSE COMPONENTS Period Close Checklist Journal Import Verification Process Historical Rates Foreign Currency Translation Consolidating Ledgers Performing Account Inquiry ALLOCATIONS CREATING ALLOCATIONS RULE SETS AND COMPONENTS Journal Allocations Requirements Step Down Allocation Example Journal Allocations Concepts Journal Allocations - Best Practices REVALUATIONS AND TRANSLATIONS Revaluation and Translation Setup Revaluation Overview Revaluation Example Translation Overview
ORACLE FUSION FINANCIALS FINANCIAL REPORTING Financial Reporting and Analysis Multi-Dimensional Analysis on Live Data Help with completing Hands On Exercises PAYABLES CONFIGURATION Define Business Unit Supplier Configuration Supplier lookups and Business Classifications Define Common Options for Payables and Procurement Manage Payables Lookups Document Sequence Invoice Holds and Releases Define Payment Methods Overview of Payables Approval
ORACLE FUSION FINANCIALS PERFORM INVOICE TRANSACTIONS Create Suppliers Create Invoices online – Explain PO matching and direct invoices Create Invoice through spreadsheet PAYMENT CONFIGURATION Configure Payment System Manage Payment Formats (BI Template and configuration) Payment Process Profile Bank Account Configuration Payment System Options PAYMENT PROCESSING Quick Payment Execute Payment Batch PERIOD CLOSE Create Accounting AP to GL reconciliation Payables Period Close Checklist Payables Period Close Basics of Payables Reporting through OTBI – Explain Subject Areas
ORACLE FUSION FINANCIALS ORDER TO CASH LIFECYCLE OVERVIEW Order to Cash Overview Integration with Other Applications Business Unit Positioning in Order to Cash Flow MANAGE PARTIES AND CUSTOMER ACCOUNTS Party Model and Features Profile Classes Customer Entry Methods PROCESS INVOICES Overview of Invoice Configuration Overview of Auto Invoice Process Overview of Invoice Process PROCESS RECEIPTS Overview of Receipts Setup Overview of Receipt Process Receipt Entry Methods Types of Receipts Overview of Lock Boxes Overview of Automatic Receipts
ORACLE FUSION FINANCIALS RECEIVABLES REPORTING Overview of Standard Reports Overview of Adhoc Reporting using OTBI Overview of BI Publisher ORACLE CASH MANAGEMENT OVERVIEW Describe Key Feature of Oracle Cash Management Key Concepts of Bank Account Model Key Concepts of Reconciling Bank Statements Cash Management Configuration Bank Master Maintenance Bank Statement Transaction Codes Bank Statement Reconciliation Rules CASH MANAGEMENT INTEGRATION WITH OTHER APPLICATIONS MANAGING BANK STATEMENTS Enter and Import Bank Statements Bank Statement Open Interface Reviewing and Correcting Bank Statement Errors Managing Bank
ORACLE FUSION FINANCIALS RECONCILIATION Overview of Bank Reconciliation Auto Reconciliation Matching Manual Reconciliation Matching Cash Management Reporting Manual Reconciliation Matching Cash Management Reporting ASSETS OVERVIEW Fusion Assets Overview Assets Configurations FUSION ASSET CONFIGURATION OVERVIEW Managing Asset Key Flex Fields System Controls Managing Fiscal Years and Calendars Managing Asset Books Managing Asset Categories
ORACLE FUSION FINANCIALS ASSET ADDITIONS Manual Asset Additions Mass Asset Additions CIP Asset Additions Asset Adjustment DEPRECIATION Depreciation Rules Depreciation Methods Managing Depreciation RETIREMENTS Asset Retirements Asset Reinstatements ASSET REPORTING Tax Books Tax Book Concept Setting up a Tax Book Managing Tax Books