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Oracle Fusion Financials Notes

The document outlines the basic setups and processes for Oracle Fusion Accounts Payable (AP), including creating reference data sets, payment terms, and invoice options. It also details the invoice and payment processing steps, such as standard invoice creation, payment creation, and handling various invoice types like debit and credit memos. Additionally, it covers configurations for Accounts Receivable (AR) and Fixed Assets (FA), detailing transaction types, customer profiles, and asset tracking structures.
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0% found this document useful (0 votes)
29 views38 pages

Oracle Fusion Financials Notes

The document outlines the basic setups and processes for Oracle Fusion Accounts Payable (AP), including creating reference data sets, payment terms, and invoice options. It also details the invoice and payment processing steps, such as standard invoice creation, payment creation, and handling various invoice types like debit and credit memos. Additionally, it covers configurations for Accounts Receivable (AR) and Fixed Assets (FA), detailing transaction types, customer profiles, and asset tracking structures.
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as PDF, TXT or read online on Scribd
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🧾 Oracle Fusion Accounts Payable (AP) – Basic

Setups & Processes

1. Create Reference Data Set

Reference Data Sets (RDS) allow sharing of configuration data like payment terms or
methods across multiple Business Units (BUs).

Indian Example:​
A group like Tata Sons can use an RDS called COMMON_SET to apply standard payment
terms across BUs like Tata Consultancy Services (TCS) and Tata Motors.

2. Create Payment Terms

Defines when supplier invoices become due. Terms can include discounts and installment
options.

Indian Example:​
“Net 30” – Invoice is due in 30 days from the invoice date.​
“2% 10 Net 30” – 2% discount if paid within 10 days, else full due in 30 days.

3. Assign Payment Terms to RDS

Once payment terms are created, they must be added to a Reference Data Set for reuse
across BUs.

4. Assign RDS to BU

BUs are linked to RDS so they can use common configurations.

Example: TCS BU is linked to COMMON_SET.

5. Setup Invoice Options

Configure invoice rules such as matching options (2-way or 3-way), automatic approval, or
tolerance limits.
Example: Set 3-way match for GST-compliant vendor purchases in India.

6. Setup Payment Options

Define rules like default currency (INR), payment grouping, and document sequence.

Example: Enable grouping by supplier site for batch payments to Reliance Jio.

7. Create Distribution Set

Allows splitting of invoice amounts across cost centers/accounts automatically.

Example:​
Electricity bill split:

●​ 50% to Admin Department​

●​ 50% to Production Department​

8. Set Supplier Numbering

Choose automatic or manual supplier numbering.

Example:​
Auto format: SUP00001 for Infosys, SUP00002 for Wipro.

9. Assign “Supplier Manager” Role to User

Role required to create or update suppliers.

10. Submit LDAP Job

Runs a background sync job to activate new roles and user privileges.

11. Create Procurement Agent


Procurement agents (buyers) are responsible for placing purchase orders.

12. Create Supplier Profile, Address, Site, and Site Assignments

Enter supplier details including GSTIN, PAN, and assign roles like Bill-To, Ship-To.

Indian Example:​
Supplier: Hindustan Unilever​
GSTIN: 27AAACH1009L1ZP​
Site: Mumbai Warehouse

13. Create Bank, Branch, Bank Account, Documents, Assign to BU

Set up Indian bank account details for payments.

Example:

●​ Bank: HDFC​

●​ Branch: Andheri​

●​ IFSC: HDFC0001234​

●​ Account: 00987654321​

●​ Assigned to BU: TCS​

14. Create Payment Process Profile (PPP)

PPP controls how payments are generated—includes payment formats and validations.

15. Assign AP Seeded Roles to User

Give access like Accounts Payable Specialist or Disbursement Accountant.

16. Assign Business Unit to AP Roles

Assign user access to BU-level transactions for AP.


17. Submit LDAP Job

Re-run to finalize access updates.

18. Open AP Periods

Required to enter AP transactions. Periods typically follow Indian financial calendar


(Apr–Mar).

🧾 Invoice and Payment Processing (AP)


19. Standard Invoice Creation

Used when there's no PO.

Example: Pay Rent for office without a PO.

20. PO/Receipt Based Invoice Creation (P2P)

Invoices generated by matching PO and receipt. Common for material purchases.

21. Invoice Creation via Spreadsheet (ADFdi)

Used for bulk invoice upload via Excel plugin.

Example: Load 100 vendor invoices for electricity from different regions.

22. Debit Memo (DM) Invoice Creation

Issued to reduce amount owed to supplier due to overbilling.

23. Credit Memo (CM) Invoice Creation


Supplier offers refund or discount.

24. Payment Creation

Manual or batch payments via PPP.

25. Pay Group

Categorize payments—for example, Transport, Office Rent.

26. Creating Payment Process Request (PPR)

Automated tool to group, validate, and create payments.

27. Prepayment Invoice Process

Advance payments before receiving goods or invoice.

Example: Pay 25% advance for software licenses from Tally.

28. Withholding Tax Setups & Process

Deduct tax at source (TDS) as per Indian compliance.

Example: Deduct 10% TDS on contractor invoice over ₹30,000.

29. Bills Payables Configuration & Process

Used for Bills of Exchange or Promissory Notes.

30. Pay Alone Configuration & Process

Ensures a specific invoice is paid separately (e.g., legal fee).


31. Foreign Currency Invoice & Payment

Pay invoices in USD or EUR while accounting in INR.

Example: Pay Amazon AWS invoice in USD from HDFC’s forex account.

32. Supplier Merge Process

Merge duplicate supplier records while maintaining history.

33. Interest Invoice Process

Generate late payment interest invoices automatically.

34. Recurring Invoice Setup

Automate recurring entries like rent or AMC.

35. Third Party Payments

Pay another entity on behalf of supplier.

36. Cross Currency Payments

Pay a USD invoice using an INR bank account (converted through exchange rate).

37. Invoice Hold & Release Reason

Apply holds like Tax Mismatch or Quantity Dispute.

38. Supplier Refund Process

Refund received from supplier must be recorded and reconciled.


39. Create Aging Periods & Testing

Used in AP Aging Reports—buckets like 0–30, 31–60, 61–90 days.

40. Custom Roles

Create roles for users like AP India Analyst with region-specific access.

41. Invoice Approval Workflow (BPM)

Define who must approve invoices using Oracle BPM rules.

Example:​
Invoices over ₹1,00,000 must be approved by Finance Manager.

42. FBDI – Supplier Conversion

Import supplier master data using FBDI Excel templates.

43. FBDI – Open Invoices Conversion

Load open invoices during cutover/migration phase.

44. Create Accounting Entries & Transfer to GL

Run Create Accounting → Transfer to GL → Post in General Ledger.

45. AP to GL Reconciliation

Match AP subledger with GL balances.

46. AP Period Close Process

Checklist includes validating transactions, running reports, and closing the AP period.
47. BI Report – SQL

Create AP reports using SQL and BI Publisher.

Example: Report showing invoices pending for payment by vendor.

48. OTBI Report

Create real-time dashboard reports using OTBI (drag & drop interface).

49. Invoice Image Solution (IDR)

Use scanned invoices for automated invoice creation.

50. Payment Format

Define format like MT940, RTGS/NEFT/XML for bank integration.

51. Security Profile / MOAC

Set Multi-Org Access Control to allow user access across multiple BUs.

52. Subledger Accounting / SLAM

Define rules to derive accounting from AP transactions.

Example:​
Debit: Expense – Rent​
Credit: Liability – Vendor
🔁 Oracle Fusion P2P (Procure to Pay): Inventory &
Purchasing Configuration (Topics 53–76)

53. Assign Offerings to Project

Select and activate the required functional offerings in Oracle (e.g., Procurement, Payables,
Inventory) via Setup and Maintenance.

54. Define Facilities (Workday Calendar) for Procurement

Configure working calendars for facilities involved in receiving and procurement.

Indian Example:​
Warehouse in Pune operates Monday–Saturday, 10 AM–6 PM.

55. Facility Shifts

Define multiple shifts if goods are received or work is done in different timings.

56. Facility Workday Pattern

Assign a pattern for working days (e.g., Mon–Sat) and holidays.

57. Facility Schedule

Integrates shifts and workday patterns into a schedule for supply chain operations.

58. Create Item Master Inventory Organization

Master org holds the common item definitions used across all other inventory orgs.

59. Create Child Inventory Organization


Child orgs represent physical or logical storage locations where inventory is tracked.

Indian Example:

●​ Master Org: INDIA_ITEM_MASTER​

●​ Child Org: Chennai_WH, Delhi_WH​

60. Configure Procurement Business Function

Enable business unit for procurement operations (PO creation, supplier negotiation).

61. Configure Requisitioning Business Function

Enable BU for raising purchase requisitions.

62. Manage Common Options for Payables and Procurement

Link ledger, legal entity, and BU for financial and procurement transactions.

63. Receiving Parameters

Configure receiving controls like routing, tolerances, inspection requirements.

64. Procurement Agent (Buyer)

Assign a user as a buyer for PO responsibilities.

65. Set Default Buyer

Default buyer auto-populates during requisition creation if none is chosen.

66. Manage Transaction Account Definitions


Define accounting for transactions like accruals, expense charge.

Example:​
PO to Tata Steel triggers:

●​ Debit: Raw Material Inventory​

●​ Credit: Accrual​

67. Manage Account Rules

Define rules for how account segments (e.g., cost center, department) are derived.

68. Transaction Account Definition (PO TAB)

Create PO-specific account derivation rules.

69. Assign TAB to Ledger

Link transaction account definitions to a ledger (e.g., INR Ledger).

70. Manage PR, PO Approvals - Rule

Define BPM-based rules for Purchase Requisition (PR) and PO approvals.

Example:​
PO > ₹5 Lakhs needs VP Approval.

71. Subinventory

Create logical sections under inventory orgs (e.g., Finished Goods, Raw Material).

72. Item Class

Group similar items with shared behavior for easier management.


73. Create Item and Assign to Inventory Org

Define item (e.g., printer cartridge) and assign it to child orgs for stocking.

74. Assign Roles to User

Roles like Buyer, Inventory Manager are assigned to the user.

75. Provide Data Access for User

Allow access to specific BUs or Inventory Orgs.

76. Run LDAP Job

Synchronize roles and access for the user to go live.

🔄 Oracle Fusion P2P Flow (Topics 77–86)


77. Set Requisition Preferences

User sets default values like deliver-to location, charge account.

78. Create Purchase Requisition → PO → Invoice

Standard flow:

●​ Raise PR​

●​ Convert to PO​

●​ Receive goods​

●​ Create invoice​

Example:​
Office supplies PR raised by HR, PO auto-generated by buyer, invoice created after receipt.
79. Manual PO → Receipt → Invoice

Directly create PO without PR, then receive and create invoice.

80. Pay on Receipt / ERS / Self-Billing

System auto-creates invoice on receiving goods. Useful for high-trust vendors.

Example:​
Recurring supply from Maruti Auto Components.

81. Pay on Receipt – Repeated

Same as 80 – emphasizes auto-invoicing upon receiving.

82. Enable “Pay on Receipt” at Supplier Site

Flag must be enabled in supplier profile to allow ERS.

83. Create PO

Enter PO manually or from PR using buyer work center.

84. Create Receipt

Record receipt of goods against PO using inventory or receiving module.

85. Run ESS Job

Jobs like “Create Payables Invoices” or “Transfer Receipts to AP” process auto-invoicing.

86. Review Invoice in AP


Validate system-generated invoice and proceed to payment.

💳 Oracle Fusion Accounts Receivable (AR) –


Configuration & Transactions (Topics 87–133)

87. Receivables System Options Configuration

Configure default values for AR processing—like transaction numbering, accounting, and


tax.

Indian Example:​
Set INR as default currency, and define GST recovery account settings.

88. Define Transaction Types

Differentiate AR transactions—Standard Invoice, Debit Memo, Credit Memo, etc.

89. Define Transaction Sources

Identify source of transactions—Manual, AutoInvoice, FBDI, etc.

Example:

●​ AUTO_INVOICE for data uploads​

●​ MANUAL_ENTRY for ad hoc billing​

90. AutoAccounting Rule Configuration

Set rules to derive GL accounts based on item, customer, salesperson, etc.

91. Create Payment Terms

Define customer payment schedules (e.g., Net 30, Net 45).


Example:​
Reliance Retail pays invoices within 30 days – use Net 30 term.

92. Create Statement Cycles

Define frequency for sending customer statements.

93. Collector Creation

Assign users to manage collections and follow-ups on outstanding balances.

94. Create Customer Profile Class

Set default terms, credit limits, and statement settings.

95. Create Customer

Record customer master data including GSTIN, PAN, billing and shipping address.

96. Create Customer Site/Address

Create operational addresses: Bill-To, Ship-To, Remit-To.

97. Assign RDS (Customer Site) to BU

Link customer data set with Business Unit to allow AR transactions.

98. Create Remit-to Address

Define where customers should send payments—required on invoices.

99. Standard/Memo Lines Creation


Define default descriptions for recurring invoice/memo lines.

🧾 Accounts Receivable Concepts & Transactions


100. Create Receivable Activities

Define activities such as adjustments, claims, write-offs, etc.

101. Create Receipt Classes & Methods

Classify receipts based on method (Cash, Cheque, RTGS, NEFT).

102. Create Receipt Source

Identify the origin—Lockbox, Manual, AutoReceipt.

103. Assign AR Roles to User

Assign roles like Receivables Accountant, Billing Specialist.

104. Assign BU to User Roles

Allow access to relevant BUs.

105. Run LDAP Job

Sync updated roles/access privileges.

106. Open Receivables Periods

Enable periods for transaction entry and posting.


107. Invoice Transaction Creation

Create standard invoices manually for customers.

Example:​
Send ₹2,00,000 invoice to Flipkart for IT support services.

108. Manual Credit Memo Transaction Creation

Issue refund or reduce outstanding for customer complaints.

109. Automatic Credit Memo Transaction Creation

Auto-created via RMAs, pricing issues, or AutoInvoice.

110. Debit Memo Transaction Creation

Used to charge customers additional amounts post-invoice.

111. Transaction with Memo Lines

Use predefined lines (e.g., “Monthly Maintenance”) in invoices.

112. Chargeback Transaction Creation

Treat short payment as new receivable.

Example:​
Customer pays ₹95,000 on ₹1,00,000 invoice → ₹5,000 is chargeback.

113. Standard Receipt Creation

Record incoming payment from customer.

114. On Account Receipt


Customer pays in advance; apply to future invoices.

115. Misc. Receipt Creation

For interest income, tax refund, or other unrelated receipts.

116. Receipt/Batch Creation in Spreadsheet & Process

Use ADFdi to upload multiple receipts at once.

117. Standard Receipt Reversal

Undo receipt due to bank return or error.

118. Debit Memo Receipt Reversal

Reverse receipts posted against debit memos.

119. AP/AR Netting

Offset amounts between a customer who is also a supplier.

Example:​
TCS buys ₹10L from Infosys and sells services worth ₹7L → net ₹3L payable.

120. Reciprocal Customers Configuration & Process

Link party as both customer and supplier for netting purposes.

121. Cross Currency Receipts Configuration & Process

Manage when receipts are received in a currency different than invoice.


122. Receipt Write-Off Configuration & Process

Write off small dues like rounding differences.

123. Customer Refund Configuration & Process

Issue refund to customer via AP module.

124. Aging Methods/Buckets

Define aging intervals like 0–30, 31–60, etc., for aging reports.

125. Revenue Recognition Configuration & Process

Recognize revenue based on fulfillment or schedule.

Example:​
₹1.2L annual support fee recognized at ₹10K/month.

126. Balance Forward Billing Configuration & Process

Consolidate multiple invoices into a single monthly statement.

127. Reviewing Customer Account Balances Details

Use dashboards or BI reports to track outstanding, overdues, and payments.

128. File Based Data Import (FBDI) – Customers

Use FBDI to import customer master data during migration.

129. File Based Data Import (FBDI) – AutoInvoice

Import large volumes of invoices automatically.


130. Automatic Receipts Configuration & Process

Used in subscription or standing instructions; auto-generate receipts.

131. Create Accounting Entries & Transfer to GL

Run Create Accounting, transfer to GL, and post entries.

132. Receivables to General Ledger Reconciliation

Ensure AR balances match those in GL.

133. Receivables Period Close Process

Complete validations, approvals, and reconciliation before closing the period.

🏢 Oracle Fusion Fixed Assets (FA) – Setups &


Concepts (Topics 134–169)

134. Create Value Sets for Category KFF

Used to define valid values for asset categories.

Indian Example:​
Category: BUILDING, FURNITURE, VEHICLE

135. Create Value Sets for Location KFF


Used to track asset locations.

Example:​
MUMBAI-HO, BANGALORE-BRANCH, NOIDA-WAREHOUSE

136. Create Value Sets for Asset Key KFF

Asset keys can represent departments, asset groups, or other classifications.

137. Create Category KFF Structure

Configure key flexfield structure for asset categories using value sets.

138. Create Location KFF Structure

Define structure that holds asset location info across company sites.

139. Create Asset Key KFF Structure

Structure that includes asset grouping (e.g., Department–Function).

140. Create Category KFF Structure Instance

Create an instance of the Category KFF and assign it to ledger.

141. Create Location KFF Structure Instance

Deploy location structure and link to asset book.

142. Create Asset Key KFF Structure Instance

Enable asset key tracking for each asset book.


143. Create Segment Values for KFFs

Define value combinations for Category, Location, and Asset Key segments.

144. Configure System Controls

Controls setup for corporate book, calendar, asset number generation, etc.

145. Create Fiscal Year

Defines financial calendar (e.g., Apr–Mar for India).

146. Create Asset Calendar/Depreciation Calendar

Defines asset depreciation cycle: monthly/annually.

147. Define Prorate Convention

Defines how depreciation is calculated when asset is added mid-period.

Example:​
Mid-Month Convention = Full month depreciation if added on or before 15th.

148. Create Prorate Calendar

Map each date to a prorate period for depreciation accuracy.

149. Create Corporate Book/Depreciation Book

Main book for asset accounting. Tracks acquisition, depreciation, retirements.

150. Create Tax Book

Used for Indian Income Tax Act compliance. Can differ from corporate depreciation.
151. Create Asset Categories

Group assets with common depreciation rules.

Example:

●​ Category: FURNITURE​

●​ Method: Straight Line​

●​ Life: 5 years​

152. Assign FA Roles to User

Roles like Fixed Asset Accountant, Asset Manager must be assigned.

153. Assign Corporate Book to FA Roles

Provide users access to specific books (e.g., INDIA_CORP_BOOK).

🏗️ Fixed Assets Concepts


154. Manual Additions

Add assets manually in system (e.g., generator purchased directly).

155. Asset Creation using Spreadsheet (ADFdi)

Bulk upload of asset data via ADFdi Excel tool.

156. Mass Additions

Transfer capital expense invoices (from AP) to Assets automatically.


Example:​
₹5L server purchase recorded in AP → sent to FA as asset.

157. Merge Asset Lines

Merge multiple assets into one record (e.g., chairs into furniture set).

158. Split Asset Lines

Break one asset into multiple lines if tracking requires it.

159. CIP Asset & CIP Capitalization

Track Construction in Progress (CIP) before asset is ready for use.

Example:​
Office construction costs tracked in CIP → capitalized when complete.

160. Reclassification

Change asset category or account mapping post-acquisition.

161. Run Depreciation

Calculate monthly depreciation for all active assets.

162. Mass Copy

Copy assets from Corporate Book to Tax Book automatically.

163. What-if Analysis

Simulate impact of asset life/method changes without affecting books.


164. Rollback Depreciation

Undo depreciation if changes are made (e.g., method or life).

165. Asset Retirement

Remove asset from books with/without proceeds (sale, scrap).

166. Asset Reinstatements

Re-add asset into books if retirement was accidental or reversed.

167. FBDI – Assets Import

Use FBDI to upload legacy or converted asset data.

168. Create Accounting Entries & Transfer to GL

Run Create Accounting for FA → Transfer entries to General Ledger.

169. Assets Period Close Process

Steps include depreciation run, asset additions/retirements validation, and reconciliation.

✅ Next: Proceeding with Cash Management (Topics 170–180).


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💰 Oracle Fusion Cash Management – Setups &


Transactions (Topics 170–180)
170. Oracle Fusion Cloud Financials Training (Placeholder)

Refers to the learning platform and materials; skip actual setup here.

171. Bank Statement Creation – Manual

Create bank statement manually to match with system transactions.

Indian Example:​
Enter HDFC bank statement for 1st to 31st May manually when file upload is not possible.

172. Manual Reconciliation

Manually match bank statement lines with system transactions like receipts and payments.

173. AutoReconciliation

Use system logic to match statement and system transactions using amount, date,
reference.

Example:​
Bank entry of ₹1,00,000 matches receipt from Infosys on same date.

174. External Cash Transactions – Manual

Record cash-related transactions outside Payables or Receivables modules (e.g., bank


fees).

175. External Cash Transactions – Generate Automatic

Automatically generate external cash transactions through setups or integration.

176. Ad Hoc Payments

Unplanned or one-off payments entered directly in Cash Management.


177. Create Bank Transaction Codes

Set up bank-provided codes for mapping bank charges, interest income, etc.

Example:​
Code CHARGES = ₹250 bank fees

178. Assign Cash Manager Role to User

Required for managing reconciliation, bank accounts, and transactions.

179. AP: Payments

View and reconcile outgoing payments from Payables module in Cash Management.

180. AR: Receipt – Remit

Handle receipts remitted by customer and reconcile in bank statement.

📒 Oracle Fusion General Ledger (GL) – Configuration


& Processes (Topics 181–218)

181. Create Accounting Calendar

Define the fiscal periods used by your organization.

Indian Example:​
Fiscal year: April to March, monthly periods = 12 periods.

182. Create/Enable Currencies

Define and enable currencies such as INR, USD, EUR for journal entries.
183. Create Value Sets

Used in chart of accounts (COA) to validate input values for each segment.

Example:​
Value Set for Department: 100 (HR), 200 (Finance), 300 (IT)

184. Create Chart of Accounts (COA)

Defines account structure—segments like Company, Department, Account, Location.

185. Create COA Instance

Assign structure to legal entities and ledgers.

186. Create Primary Ledger

Core financial ledger that combines COA, calendar, currency, and accounting method.

187. Setup Ledger Options

Set options like journal approval, suspense accounts, intercompany balancing.

188. Create Legal Entity

Represents your registered company or subsidiary under Indian Companies Act.

Example:​
Tata Steel Ltd. (CIN: L27100MH1907PLC000260)

189. Complete Primary Ledger Definition

Link legal entity to ledger and finalize ledger setup.

190. Assign GL Roles to User


Give roles like General Accountant, General Ledger Manager.

191. Provide Data Access for User

Assign user access to ledgers and legal entities.

192. Run LDAP Job

Sync user role and access changes.

193. Open GL Periods

Enable periods for entering and posting journal entries.

194. Transaction Process

Covers day-to-day journal processing, revaluation, allocations, etc.

195. Understanding Role-Based Dashboards

Users see dashboards based on roles: Journals, Trial Balance, Reconciliation, etc.

196. Create Journals & Post

Create manual journals and post to GL.

Example:​
Salary Accrual

●​ Debit: Salary Expense ₹5L​

●​ Credit: Salary Payable ₹5L​

197. Create Journals in ADFdi (WebADI)


Upload multiple journals using Excel integration tool (ADFdi).

198. Load Journals from FBDI Templates

Bulk upload journals using FBDI Excel sheets.

199. Foreign Currency Journals Setup & Process

Create journals in USD, EUR and convert to INR using exchange rates.

200. Reverse Journals

Reverse entries like month-end accruals in the following period.

201. Data Access Set Setup & Process

Restrict or allow user access to specific ledgers or legal entities.

202. Cross Validation Rules Setup & Process

Prevent invalid segment combinations in COA.

Example:​
Block HR department (100) from using Capital Expense account (8000)

203. Security Rules Setup & Process

Limit value access for users—for example, user A can only access Mumbai location.

204. Create Ledger Set Setup & Process

Group multiple ledgers for consolidated reporting.


205. Create Reporting Ledger / Reporting Currency Setup & Process

Maintain parallel ledgers in different currencies.

Example:​
INR as primary, USD as reporting.

206. Create Secondary Ledger Setup & Process

Maintain ledger under different accounting standards (e.g., IFRS and Indian GAAP).

207. Auto Posting Setup & Process

Schedule automatic posting of journals daily or weekly.

208. Auto Reversal Setup & Process

Automatically reverse journals based on source or category settings.

209. Create Budget

Input financial plan values for comparison during the year.

210. Journal Approval Configuration & Testing

Use BPM to configure approval flow for manual or imported journals.

211. Revaluation Setup & Process

Revalue foreign currency balances using monthly exchange rates.

212. Translation Setup & Process

Convert ledger balances from INR to USD for reporting.


213. Consolidation Setup & Process

Combine data from multiple ledgers/entities for group-level reporting.

214. Financial Reporting Studio (FRS)

Tool to design income statements, balance sheets, and trial balances.

215. Smart View

Excel-based reporting tool for ad hoc GL data extraction and analysis.

216. Account Inspector

Interactive analysis tool to view account balances across periods.

217. Account Monitor

Track account balance changes in real-time with thresholds and alerts.

218. GL Period Close Process

Checklist includes validating journals, revaluing currency, reconciling subledgers, and


closing period.

🧾 Oracle Fusion Expenses – Basic Setups & Process


(Topics 219–231)

219. Configure Expenses System Options


Set global options for expense management such as default currency, audit rules, and
reimbursement method.

Indian Example:

●​ Default Currency: INR​

●​ Expense Reimbursement Account: 2000 – Staff Advance Clearing​

220. Create Expense Report Templates

Define templates for employees to enter expenses—include categories, GL mappings, and


policy checks.

Example:​
Template: “Domestic Travel”

●​ Categories: Airfare, Meals, Hotel​

●​ Limits: ₹2,000/day for meals​

221. Create New User: ALTMANAGER

User creation for approver or supervisor roles.

222. Create Employee/Supervisor Relationship

Link employees to supervisors for approval routing.

Example:

●​ Employee: Rajesh​

●​ Supervisor: Suman (Finance Manager)​

223. Provide Default Expense Account

Assign a GL account that gets defaulted when expense reports are created.
Example:​
Travel Expense:

●​ Debit: 6100 – Travel & Lodging​

●​ Credit: 2200 – Payables Liability​

224. Create Approval Rules

Use BPM to create rules for expense report approval.

Example:

●​ Below ₹5,000 – Auto Approve​

●​ ₹5,000–₹20,000 – Manager Approval​

●​ ₹20,000 – Director Approval​


225. Assign Roles to User

Roles like Expense Manager, Expense Auditor, and Employee Self-Service must
be assigned.

226. Assign BU to Expense Roles

Give the user access to the business unit they belong to for expense submission and
approvals.

227. Run LDAP Job

Sync the roles and privileges after assignment.

🧾 Expense Submission and Processing


228. ALTINC: Create Expense Report & Submit for Approvals

Employee (e.g., ALTINC) logs into Oracle and creates an expense report for travel, food, or
client meeting.

Example:​
Rajesh submits ₹8,500 for Mumbai client visit (auto-routed to supervisor for approval).

229. ALTMANAGER: Approve Expense Report

Supervisor (e.g., ALTMANAGER) receives approval notification and either approves, rejects,
or requests more info.

230. Run “Process Expense Reimbursement”

ESS job processes approved expense reports and creates Payment Request Invoice in AP.

231. Find “Payment Request” Invoice in AP

Approved expense report appears in Payables module for payment processing to the
employee.

🧾 Oracle Fusion Tax Basic Setups / R2R – Indian GST


Focused (Topics 232–245)

232. Create Tax Regime

A tax regime defines the structure of indirect taxes.

Indian Example:​
Tax Regime: IN GST REGIME

●​ Country: India​

●​ Regime Code: IN_GST​


●​ Effective From: 01-JUL-2017​

233. Create Taxes: CGST, SGST, IGST

Define tax components under GST.

Examples:

●​ CGST – Central GST (9%)​

●​ SGST – State GST (9%)​

●​ IGST – Integrated GST (18%)​

234. Create Tax Jurisdiction

Specify jurisdictions like states or zones where tax applies.

Example:

●​ Maharashtra​

●​ Karnataka​

●​ Delhi​

235. Create Tax Status

Defines the status of a tax—e.g., Standard Rated, Zero Rated, Exempt.

236. Create Tax Rates

Enter applicable tax % per status and jurisdiction.

Example:

●​ CGST (Standard) – 9%​


●​ SGST (Standard) – 9%​

●​ IGST (Standard) – 18%​

237. Create Configuration Owner Tax Option

Set ownership of the tax setup—usually by Legal Entity or Business Unit.

238. Manage Geographies – Check Tax Validation

Ensure addresses used for tax calculations are valid (e.g., city, state must match pin code).

239. Run “Validate Geographies Addresses”

Validates that all addresses used in transactions are GST-compliant.

240. Create Location

Create physical locations like offices or warehouses linked to GST registrations.

Example:

●​ Location: Pune Branch​

●​ GSTIN: 27AAACT1234L1Z6​

241. Assign Location to Supplier Site Assignments

Link GST-registered locations to supplier site for tax calculation.

242. Enable Tax Simulation at TAX

Use simulation tool to test how tax behaves before going live.
243. Test Tax Calculation – Manage Simulator Transactions

Simulate invoices with different items, locations, and vendors to verify correct tax (CGST,
SGST, IGST) is calculated.

244. Enable Tax for Transaction at TAX

Ensure tax applicability is turned on at transaction type or event level (e.g., PO, AP invoice).

245. Create Standard Invoice in AP (with Tax)

Create AP invoice for a taxable purchase and verify GST splits.

Indian Example:​
Invoice from vendor in same state:

●​ Total: ₹1,18,000​

●​ Item: ₹1,00,000​

●​ CGST: ₹9,000​

●​ SGST: ₹9,000​

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