Enterprise Resource Planning (ERP)

Purchasing Accounting

How to create Purchasing Accounting This guide will walk you through the process of Purchasing Accounting in Oracle Cloud for Accrue at Receipt and Accrue at Period End Transactions. From scheduling processes to creating accounting entries, follow the precise instructions to efficiently manage your purchasing accounting tasks in Oracle Cloud. After logging on to the …

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PO Period End Receipt Accruals

How to run PO receipt accounting for period end option This guide provides detailed instructions for generating receipt accounting of the Period End Purchase Orders in Oracle Cloud. Navigate to Tools and click on the Scheduled Processes tab. Click on the Schedule New Process. Enter Process Name as Transfer Transactions from Receiving to Costing and …

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Period Closure for Subledgers and GL

Period Closure for Subledgers and GL This guide will provide the detailed step-by-step process of performing period close in the General ledger in Oracle Fusion. To access Period close dashboard, click on the Period Close sub menu under the General Accounting menu. Before closing the period, outstanding subledger transactions can be checked from the Outstanding …

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Payables Accounting and Period Closure Procedures

Payables Accounting and Period Closure Procedures This guide will walk you through the process step-by-step of closing the Payables period in Oracle Payables Cloud by sweeping the transactions with error status to the following month and running the necessary reports to resolve the exceptions. At first, try to submit the Payables Period Close exception report …

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Payables and GL Reconciliation

Payables & GL Reconciliation The Payables to Ledger Reconciliation Report lists the journals posted to the general ledger for open balances. The report facilitates the reconciliation of accounting and transactional data recorded in Payables and Oracle Fusion Subledger Accounting. This guide will provide the detailed steps for running Payables to General Ledger Reconciliation process in …

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Journal Upload through Spreadsheet

Journal Upload through Spreadsheet This guide will provide detailed step-by-step process of creating and uploading bulk journal entries in the Oracle fusion using Create Journal Spreadsheet. To create a journal, navigate to the Journal work area. Click on the General Accounting Menu and select the ‘Journals’ submenu. To download the ADFDI Spreadsheet, click on the …

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Intercompany Journals

Intercompany Journals Create and Manage Intercompany transaction by automatically creating journals for the provider and recipient entities using Oracle Cloud. This guide involves a series of actions to smoothly complete the intercompany transaction between entities. Navigate to Transactions by selecting Transactions submenu under Intercompany Accounting Menu on the Navigator. On the Intercompany Transactions landing page …

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Intercompany Invoices

Intercompany Invoices Create and Manage Intercompany transaction by automatically creating of payables and receivables invoices for the provider and recipient entities using Oracle Cloud. This guide involves a series of actions to smoothly complete the intercompany transaction between entities. On the home page navigate to Intercompany Accounting menu and select Transactions submenu. On the Intercompany …

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