Oracle R12 Receivables
Course Fee: £590
Course Objectives:- Describe the overall order to cash process from Order Entry through Bank Reconciliation
- Describe Bank Reconciliation and Understand Cash Forecasting
- Discuss the key areas in the Order to Cash Life Cycle
- Define the features enabling you to enter and maintain party and customer account
- Describe the overall Receivables Process and explain where the Receivables processing is positioned within the Order to Cash Life Cycle
- Describe the way processing invoices fits into the Receivables process and describe the Receipt Process
- Overview of the Tax Accounting Process, Define General Tax Setup Steps, Enter Tax Adjustments, Explain Tax Reporting Ledger
- Define the various actions required to close a period in the Order to Cash eBusiness flow
- Explain the integration of Cash Management in the Order to Cash eBusiness flow
Course Topics:Overview of Oracle Receivables Process- Order to Cash Lifecycle
- Overview of Receivables Process
- Overview of the Transaction Process
- Overview of Other Invoice Operations
- Overview of Adjustments
- Overview of the AutoInvoice Process
- Overview of the Receipts and Remittances
- Overview of Collections and Tax
Manage Parties and Customers Accounts- Party Model Overview
- Profile Classes
- Multiple Sites and Business Purposes: Centralized and Decentralized Example
- Data Quality Management
- Dun & Bradstreet Integration
- Merge Parties or Customer Accounts
- Reports
- Required Setup Steps for Customers
Order to Cash Lifecycle Overview- Order to Cash Lifecycle Overview
- Over of Application Integration
- Customer Entry Methods
- Order Management Process
- Pricing Process
- Shipping Process
- AutoInvoice Process
- Receivables Process
Process Invoices- Oracle Receivables Overview
- Transaction Overview
- Invoice Entry Methods
- Entering Sales Credits
- Creating Invoice Batches
- Creating Debit Memos and Creating Adjustments
- Voiding Transactions
- Reports and Printing Transactions
Process Invoices Using AutoInvoice- AutoInvoice Process and Integration
- Defining Transaction Batch Sources
- Defining Transaction Flexfields
- Determining Tax Liability
- Managing AutoInvoice System Options
- Correct Errors Overview
- AutoInvoice Exception Handling Windows
Implement Customer Invoicing- Required Setup Steps for Transactions
- Auto Accounting
- Payment Terms
- Remit-to Addresses
- Accounting Rules
- Setting Up Document Sequencing
- Setting Up Gapless Transaction Numbering
- Consolidated Billing Invoices
Manual Receipts- Overview of Receipts
- Creating Batches
- Applying Receipts to an Invoice
- Criteria for Mass Applying Receipts
- Applying Cross Currency Receipts
- Entering Discounts
Implement Receipts- Overview of Receipt Setup
- Types of Receivables Activities
- Receipt Class, Payment Method and Bank Account Relationship
- Defining Bank Accounts
- Defining Receipt Classes
- System Options for Accounting
- Profile Options
- Functional Security
Tax Accounting Process- Order Management Global Taxes Overview
- Receivables Global Tax Overview
- Value Added Tax Overview
- US Sales Tax Overview
- Tax Partner Process Overview
- Other Taxes in Oracle Applications
- Tax Setup Steps
- Defining Tax Preferences, Defaults and Rules
Period Close Process- Period Closing Process
- Overview of Ordering to Period Closing
- Standard Reports
- Reconciling Inventory Transactions
- Running Revenue Recognition
- Transferring to the General Ledger
- Running the Journal Import Program
- Mapping Receivables Transactions to General Ledger Categories
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