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# | Oracle Fusion Financials Contents | Day | Week |
---|---|---|---|
1 | Introduction to ERPs | Day-1 | W-1 |
Advent of ERPs | Day-1 | W-1 | |
Modular Vs Non-Modular | Day-1 | W-1 | |
What is On Prem Vs Cloud? | Day-1 | W-1 | |
Types of ERP Projects – Implementation/Support/Upgrade/Roll Out etc. | Day-1 | W-1 | |
GreenFile Vs Brownfield Implemenations | Day-1 | W-1 | |
Project Life Cycles [SDLC] | Day-1 | W-1 | |
How to work with Oracle Support Team? | Day-1 | W-1 | |
2 | Oracle Fusion Financials | Day-2 | W-1 |
Introduction about Oracle Fusion Cloud Application | Day-2 | W-1 | |
Navigation/User Interface | Day-2 | W-1 | |
Understanding Quartely Updates/Releases | Day-2 | W-1 | |
Overview of Fusion Security Model | Day-2 | W-1 | |
Introduction to Roles (Duty/Job) & Privileges | Day-2 | W-1 | |
Data Access Set | Day-2 | W-1 | |
Creation of User | Day-2 | W-1 | |
Creation of Implementation Project | Day-2 | W-1 | |
Configure Offerings | Day-2 | W-1 | |
3 | General Ledger – Configurations | Day-3 | W-2 |
Enterprise Structure | Day-3 | W-2 | |
What is Enterprise Strucutre? | Day-3 | W-2 | |
Factors influencing the Enterprise Structure | Day-3 | W-2 | |
Configuration of Enterprse Structure | Day-3 | W-2 | |
Creating Legal Entity | Day-3 | W-2 | |
Creating an Address | Day-3 | W-2 | |
Creating a Legal Entity | Day-3 | W-2 | |
Registering a Legal Entity | Day-3 | W-2 | |
Chart of Accounts | Day-4 | W-2 | |
Creating COA Value Sets | Day-4 | W-2 | |
Defining COA Structure | Day-4 | W-2 | |
Defining COA Structure Instances | Day-4 | W-2 | |
Deploying Flexfield | Day-4 | W-2 | |
Defining COA Values | Day-4 | W-2 | |
Importing Chart of Accounts | Day-4 | W-2 | |
Understanding FBDI | Day-5 | W-3 | |
Prepare Values in Spreadsheet | Day-5 | W-3 | |
Prepare Hierarchies in Spreadsheet | Day-5 | W-3 | |
Generate CSV and ZIP Files | Day-5 | W-3 | |
Upload Datafile | Day-5 | W-3 | |
Load Datafile to Interface Table | Day-5 | W-3 | |
Import Values from Interface | Day-5 | W-3 | |
Import Hierarchies from Interface | Day-5 | W-3 | |
Verify COA Values & Hierarchies | Day-5 | W-3 | |
Accounting Calendar | Day-6 | W-3 | |
Defining Calendar | Day-6 | W-3 | |
Generate Calendar | Day-6 | W-3 | |
Primary Ledgers | Day-6 | W-3 | |
Defining Primary Ledgers | Day-6 | W-3 | |
Assigning Legal Entities | Day-6 | W-3 | |
Setting up Ledger Options | Day-6 | W-3 | |
General Ledger Roles | Day-7 | W-4 | |
Understanding GL Roles | Day-7 | W-4 | |
Assigning Roles | Day-7 | W-4 | |
Assigning Data Access | Day-7 | W-4 | |
Cross Validation Rules | Day-7 | W-4 | |
Account Combinations Explained | Day-7 | W-4 | |
Effect of Dynamic Combination Creation | Day-7 | W-4 | |
Cross-Validation Rules Explained | Day-7 | W-4 | |
Structure of a Cross-Validation Rule | Day-7 | W-4 | |
Examples of Cross-Validation Rules | Day-7 | W-4 | |
Cross-Validation Rules VS. Segment Value Security (Security Rules) | Day-7 | W-4 | |
Configuring Cross-Validation Rules | Day-7 | W-4 | |
Verify Cross-Validation Rule by entering Journal | Day-7 | W-4 | |
Applicability of Cross-Validation Rules (Prospective / Retrospective) | Day-7 | W-4 | |
Important Notes | Day-7 | W-4 | |
Manage Cross-Validation Rules Violations | Day-7 | W-4 | |
Secondary Ledgers | Day-8 | W-4 | |
Create Secondary Ledger | Day-8 | W-4 | |
Data Conversion Levels | Day-8 | W-4 | |
Daily Exchange Rates | Day-8 | W-4 | |
Primary to Secondary Mapping | Day-8 | W-4 | |
Subledger Options | Day-8 | W-4 | |
Verify Journal Generation | Day-8 | W-4 | |
Reporting Currency Ledger | Day-8 | W-4 | |
RC and Translation | Day-8 | W-4 | |
Daily Exchange Rates | Day-8 | W-4 | |
Create RC Ledgers | Day-8 | W-4 | |
Data Conversion Levels | Day-8 | W-4 | |
Translate Balances | Day-8 | W-4 | |
View Translated Balances | Day-8 | W-4 | |
View Translated Journals | Day-8 | W-4 | |
4 | General Ledger – Transactions & Reporting | Day-9 | W-5 |
Inter-company Transactions | Day-9 | W-5 | |
Inter-company Balancing | Day-9 | W-5 | |
Setup Inter-company Accounts | Day-9 | W-5 | |
Enter Inter-company Journal | Day-9 | W-5 | |
Post Journals | Day-9 | W-5 | |
Verify Inter-company Accounting | Day-9 | W-5 | |
Transactions | Day-10 | W-5 | |
Enter & Post Journals | Day-10 | W-5 | |
Single Jouranls | Day-10 | W-5 | |
Batch Journals | Day-10 | W-5 | |
Recurring Journals | Day-10 | W-5 | |
Recurring Journal Template | Day-10 | W-5 | |
Budgets | Day-10 | W-5 | |
Budget Creation | Day-10 | W-5 | |
Entering Budgets | Day-10 | W-5 | |
Budget Vs Actual Analysis | Day-10 | W-5 | |
Reports | Day-11 | W-6 | |
Key Reports in GL Module (Account Analysis Report, Trial Balance etc.) | Day-11 | W-6 | |
Account Inspector and Balance Inquiry in Oracle Fusion | Day-11 | W-6 | |
Account Inspector Explained | Day-11 | W-6 | |
Use cases for Account Inspector | Day-11 | W-6 | |
Scenario demonstrated for Account Inspector | Day-11 | W-6 | |
Detail Balance Inquiry Explained | Day-11 | W-6 | |
Scenario demonstrated for Detail Balance Inquiry | Day-11 | W-6 | |
Journal Line Inquiry Explained | Day-11 | W-6 | |
Scenario demonstrated for Journal Line Inquiry | Day-11 | W-6 | |
Account Monitor | Day-11 | W-6 | |
Account Monitor | Day-11 | W-6 | |
Account Group | Day-12 | W-6 | |
Creating an Account Group | Day-12 | W-6 | |
Time Options and Comparison Options for Account Groups Explained | Day-12 | W-6 | |
Conditional Display of Account Combinations | Day-12 | W-6 | |
Example Scenarios for Account Monitor | Day-12 | W-6 | |
Display Options for Account Group: | Day-12 | W-6 | |
Account Monitor | Day-12 | W-6 | |
Infolets | Day-12 | W-6 | |
Close Monitor | Day-12 | W-6 | |
Financial Reporting Center | Day-12 | W-6 | |
Financial Reporting Studio | Day-12 | W-6 | |
Introduction to Financial Reporting Center | Day-12 | W-6 | |
Period End Process | Day-13 | W-7 | |
Explan Period End Process in GL | Day-13 | W-7 | |
5 | Payables – Configuration | Day-14 | W-7 |
Business Units | Day-14 | W-7 | |
Creating Business Units | Day-14 | W-7 | |
Business Unit Functions | Day-14 | W-7 | |
Business Unit Reference Data Sets | Day-14 | W-7 | |
Banks Branches & A/cs | Day-14 | W-7 | |
Creating Bank | Day-14 | W-7 | |
Creating Branches | Day-14 | W-7 | |
Creating Bank Accounts | Day-14 | W-7 | |
Payables Settings | Day-15 | W-8 | |
Payables & Procurement Options | Day-15 | W-8 | |
Setting up Invoice Options | Day-15 | W-8 | |
Setting up Payment Options | Day-15 | W-8 | |
Payment Methods | Day-15 | W-8 | |
Payment Terms | Day-15 | W-8 | |
Payment Documents | Day-15 | W-8 | |
Payment Process Profiles | Day-15 | W-8 | |
Distribution Sets | Day-15 | W-8 | |
…More Payables Setups | Day-15 | W-8 | |
Procurement Agents | Day-16 | W-8 | |
Employee, User & Procurement Agent | Day-16 | W-8 | |
Roles for Procurement Agents | Day-16 | W-8 | |
Procurement Agents & Suppliers | Day-16 | W-8 | |
AP Roles | Day-16 | W-8 | |
Understanding AP Roles | Day-16 | W-8 | |
Assigning Roles | Day-16 | W-8 | |
Assigning Data Access | Day-16 | W-8 | |
Master Data | Day-17 | W-9 | |
Suppliers | Day-17 | W-9 | |
Creating Suppliers | Day-17 | W-9 | |
Entering Supplier Addresses | Day-17 | W-9 | |
Creating Supplier Sites | Day-17 | W-9 | |
Supplier Site Assignments | Day-17 | W-9 | |
Payment Terms | Day-17 | W-9 | |
Definition of Payment Terms | Day-17 | W-9 | |
Definition of Discount Payment Terms | Day-17 | W-9 | |
6 | Payables – Transactions & Reporting | Day-17 | W-9 |
Transactions | Day-17 | W-9 | |
Payables Invoices | Day-17 | W-9 | |
Entering AP Invoices | Day-17 | W-9 | |
Invoice Validation | Day-17 | W-9 | |
Invoice Accounting | Day-17 | W-9 | |
Recurring Invoices | Day-17 | W-9 | |
Creating Recurring Invoice Templates | Day-17 | W-9 | |
Defining Schedule and Frequency | Day-17 | W-9 | |
Start Date, End Date, Periodicity Setup | Day-17 | W-9 | |
Auto-generation of Invoices from Templates | Day-18 | W-9 | |
Invoice Hold and Release Functionality | Day-18 | W-9 | |
Overview of Invoice Holds (System vs Manual) | Day-18 | W-9 | |
Common Hold Reasons (Match Error, Tax Issue, Missing Info) | Day-18 | W-9 | |
Setting Up Hold Reasons and Types | Day-18 | W-9 | |
Invoice Matching | Day-18 | W-9 | |
2-way, 3-way, 4-way matching explained | Day-18 | W-9 | |
Payments | Day-18 | W-9 | |
Pre-requisites | Day-18 | W-9 | |
Creating Payment | Day-18 | W-9 | |
Payment Accounting | Day-18 | W-9 | |
Prepayments | Day-18 | W-9 | |
Prepayment Types | Day-18 | W-9 | |
Enter Prepayment Invoice | Day-18 | W-9 | |
Enter Payment | Day-18 | W-9 | |
Apply Prepayment to Invoices | Day-18 | W-9 | |
Prepayment Accounting | Day-18 | W-9 | |
Dr/Cr Memos | Day-18 | W-9 | |
Enter Dr/Cr Memo | Day-18 | W-9 | |
Validate Dr/Cr Memo | Day-18 | W-9 | |
Dr/Cr Memo Accounting | Day-18 | W-9 | |
Matching Dr/Cr Memo to Invoice | Day-18 | W-9 | |
Quick and Manual Payments | Day-18 | W-9 | |
Concept | Day-18 | W-9 | |
Payment Method | Day-18 | W-9 | |
Issue Payment | Day-18 | W-9 | |
View Format | Day-18 | W-9 | |
View Accounting | Day-18 | W-9 | |
Electronic Payments | Day-18 | W-9 | |
Payment method | Day-18 | W-9 | |
Payment Document | Day-18 | W-9 | |
Payment Process Profile | Day-18 | W-9 | |
Issue Payment | Day-18 | W-9 | |
View Format | Day-18 | W-9 | |
View Accounting | Day-18 | W-9 | |
Payment Process Requests | Day-18 | W-9 | |
Payment Methods | Day-18 | W-9 | |
Payment Documents | Day-18 | W-9 | |
Payment Process Profiles | Day-18 | W-9 | |
Auto-generate Check Payments | Day-18 | W-9 | |
Auto-generate Electronic Payments | Day-18 | W-9 | |
Payment Accounting | Day-18 | W-9 | |
Bills Payables/FDP | Day-18 | W-9 | |
Bills Payables | Day-18 | W-9 | |
Post Dated Checks | Day-18 | W-9 | |
Payment Methods | Day-18 | W-9 | |
Entering Future Dated Payments | Day-18 | W-9 | |
Update Payments on Maturity | Day-18 | W-9 | |
Bills Payable Flow and Accounting | Day-18 | W-9 | |
Descriptive Flexfields | Day-18 | W-9 | |
Concept and Scenario | Day-18 | W-9 | |
Global Segments | Day-18 | W-9 | |
Contexts | Day-18 | W-9 | |
Context Sensitive Segments | Day-18 | W-9 | |
Enter Values | Day-18 | W-9 | |
Search using custom fields | Day-18 | W-9 | |
Introduction to BPM (Business Process Management) | Day-18 | W-9 | |
Reports | Day-18 | W-9 | |
Key Reports in AP | Day-18 | W-9 | |
Period End Process | Day-18 | W-9 | |
Explain Period End Process in AP | Day-18 | W-9 | |
AP Reconciliation | Day-18 | W-9 | |
AP to GL Reconciliation | Day-18 | W-9 | |
7 | Receivables – Configuration | Day-19 | W-10 |
Creating Business Units | Day-19 | W-10 | |
Creating Business Units | Day-19 | W-10 | |
Business Unit Functions | Day-19 | W-10 | |
Business Unit Reference Data Sets | Day-19 | W-10 | |
Receivables Setups | Day-19 | W-10 | |
Receivables System Options | Day-19 | W-10 | |
Receivables Activities | Day-19 | W-10 | |
Auto-Accounting | Day-19 | W-10 | |
Transaction Types | Day-19 | W-10 | |
Transaction Sources | Day-19 | W-10 | |
Remit to Addresses | Day-19 | W-10 | |
Receivables Setups | Day-20 | W-10 | |
Banks, Branches, Bank Accounts | Day-20 | W-10 | |
Receipt Classes & Receipt Methods | Day-20 | W-10 | |
Receipt Sources | Day-20 | W-10 | |
…More AR Setups | Day-20 | W-10 | |
AR Roles | Day-20 | W-10 | |
Understanding AR Roles | Day-20 | W-10 | |
Assigning Roles | Day-20 | W-10 | |
Assigning Data Access | Day-20 | W-10 | |
Master Data | Day-20 | W-10 | |
Customers | Day-20 | W-10 | |
Pre-requisties | Day-20 | W-10 | |
Creating a Customer | Day-20 | W-10 | |
Creating Address | Day-20 | W-10 | |
Creating Address Purpose | Day-20 | W-10 | |
Sites & Reference Accounts | Day-20 | W-10 | |
8 | Receivables – Transactions & Reporting | Day-21 | W-11 |
Transactions | Day-21 | W-11 | |
AR Invoices | Day-21 | W-11 | |
Opening First Period | Day-21 | W-11 | |
Creating Invoice | Day-21 | W-11 | |
Completing Invoice | Day-21 | W-11 | |
Invoice Accounting | Day-21 | W-11 | |
Adjustments | Day-21 | W-11 | |
Setup Approval Limits | Day-21 | W-11 | |
Create an Adjustment | Day-21 | W-11 | |
Approve Adjustment | Day-21 | W-11 | |
Adjustment accounting | Day-21 | W-11 | |
Credit Transactions | Day-21 | W-11 | |
Transaction Type | Day-21 | W-11 | |
Create a Credit Transaction | Day-21 | W-11 | |
Complete Credit Transaction | Day-21 | W-11 | |
Credit Transaction Accounting | Day-21 | W-11 | |
View from Original Transaction | Day-21 | W-11 | |
Document Sequencing | Day-22 | W-11 | |
Concept and Explanation | Day-22 | W-11 | |
Flow of Document Sequencing for Receivables | Day-22 | W-11 | |
Types of Document Sequences | Day-22 | W-11 | |
– Manual, Automatic & Gapless | Day-22 | W-11 | |
Setup for Receivables Document Sequencing | Day-22 | W-11 | |
– Enable Sequencing | Day-22 | W-11 | |
– Create Category | Day-22 | W-11 | |
– Create Sequence | Day-22 | W-11 | |
– Assign Category | Day-22 | W-11 | |
Verify Document Sequencing on Receivables Invoice | Day-22 | W-11 | |
Verify Document Sequencing on Receivables Receipt | Day-22 | W-11 | |
Receipts – Adjustments and Write Off | Day-22 | W-11 | |
Create a Receivable Activity | Day-22 | W-11 | |
Setup Approval Limits | Day-22 | W-11 | |
Document Sequences | Day-22 | W-11 | |
Enter Receipt and Apply to Invoice | Day-22 | W-11 | |
Perform Adjustment | Day-22 | W-11 | |
Perform Write Offs | Day-22 | W-11 | |
View Adj. and Write Off Accounting | Day-22 | W-11 | |
Chargebacks | Day-22 | W-11 | |
Create a Receivable Activity | Day-22 | W-11 | |
Create Transaction Type | Day-22 | W-11 | |
Setup Approval Limits | Day-22 | W-11 | |
Create Chargeback | Day-22 | W-11 | |
View Chargeback Accounting | Day-22 | W-11 | |
Reports | Day-22 | W-11 | |
Key Reports in AR | Day-22 | W-11 | |
Period End Process | Day-22 | W-11 | |
Explain Period End Process in AR | Day-22 | W-11 | |
– AR Reconciliation | Day-22 | W-11 | |
– AR to GL Reconciliation | Day-22 | W-11 | |
9 | Fixed Assets – Configuration | Day-23 | W-12 |
Asset Key Flexfields | Day-23 | W-12 | |
Asset Category Flexfield | Day-23 | W-12 | |
Asset Key Flexfield | Day-23 | W-12 | |
Asset Location Flexfield | Day-23 | W-12 | |
Setting up Flexfields | Day-23 | W-12 | |
Creating Assets Value Sets | Day-23 | W-12 | |
Creating Flexfield Structures | Day-23 | W-12 | |
Creating Flexfield Structure Instances | Day-23 | W-12 | |
Deploying Flexfields | Day-23 | W-12 | |
Assets Setups | Day-23 | W-12 | |
System Controls | Day-23 | W-12 | |
Fiscal Years | Day-23 | W-12 | |
Calendars | Day-23 | W-12 | |
Pro-rate Conventions | Day-23 | W-12 | |
Depreciation Methods | Day-23 | W-12 | |
– SLM, Declining Balance & Units of Production | Day-23 | W-12 | |
Asset Books | Day-23 | W-12 | |
– Corporate & Tax Book | Day-23 | W-12 | |
Category Combinations | Day-23 | W-12 | |
Key Combinations | Day-23 | W-12 | |
Location Combinations | Day-23 | W-12 | |
…More Asset Setups | Day-23 | W-12 | |
Assets Roles | Day-24 | W-12 | |
Generating Roles | Day-24 | W-12 | |
Understanding FA Roles | Day-24 | W-12 | |
Assigning Roles | Day-24 | W-12 | |
Assigning Data Access | Day-24 | W-12 | |
Assets Setup Validation | Day-24 | W-12 | |
Open First Period | Day-24 | W-12 | |
Add an Asset | Day-24 | W-12 | |
Calculate Depreciation | Day-24 | W-12 | |
Asset Accounting | Day-24 | W-12 | |
10 | Fixed Assets – Transactions & Reporting | Day-24 | W-12 |
Transactions | Day-24 | W-12 | |
Amortization | Day-24 | W-12 | |
What is Amortisation | Day-24 | W-12 | |
Amortised Adjustments | Day-24 | W-12 | |
Expensed Adjustments | Day-24 | W-12 | |
Cost Adjustments | Day-24 | W-12 | |
What is Cost Adjustment | Day-24 | W-12 | |
Enter Amortised Cost Adjustment | Day-24 | W-12 | |
Depreciation and Accounting | Day-24 | W-12 | |
Enter Expensed Cost Adjustment | Day-24 | W-12 | |
Depreciation and Accounting | Day-24 | W-12 | |
Procuring Assets from Payables | Day-24 | W-12 | |
Payables to Assets Cycle | Day-25 | W-13 | |
Enter Invoice of Asset Purchase | Day-25 | W-13 | |
Invoice Accounting | Day-25 | W-13 | |
Create Mass Additions | Day-25 | W-13 | |
Prepare Mass Additions | Day-25 | W-13 | |
Creating new Asset | Day-25 | W-13 | |
Adding cost to existing Asset | Day-25 | W-13 | |
Post Mass Additions | Day-25 | W-13 | |
Find newly created Assets | Day-25 | W-13 | |
Depreciation | Day-25 | W-13 | |
Asset Accounting | Day-25 | W-13 | |
Asset Revaluation | Day-25 | W-13 | |
Setup Revaluation Options | Day-25 | W-13 | |
Setup Revaluation Accounts | Day-25 | W-13 | |
Initiate Revaluation | Day-25 | W-13 | |
Preview Revaluation | Day-25 | W-13 | |
Run Revaluation | Day-25 | W-13 | |
Revaluation Status | Day-25 | W-13 | |
Run Depreciation and Accounting | Day-25 | W-13 | |
Revaluation Accounting | Day-25 | W-13 | |
Asset Transfer | Day-25 | W-13 | |
Asset Assignments | Day-25 | W-13 | |
Employee, Expense A/c and Location | Day-25 | W-13 | |
Transfer between employees | Day-25 | W-13 | |
Transfer between Locations | Day-25 | W-13 | |
Transfer – Balancing Segment Value | Day-25 | W-13 | |
Transfer – Cost Centre | Day-25 | W-13 | |
Transfer – Other Segment Values | Day-25 | W-13 | |
Depreciation and Accounting | Day-25 | W-13 | |
Transfer of Costs and Dep Reserve | Day-25 | W-13 | |
Inter-company Accounting | Day-25 | W-13 | |
Asset Reclassification | Day-26 | W-13 | |
Changing Asset Category | Day-26 | W-13 | |
Asset Category Defaults | Day-26 | W-13 | |
Depreciation Methods for Categories | Day-26 | W-13 | |
Initiate Reclassification | Day-26 | W-13 | |
Preview Reclassification | Day-26 | W-13 | |
Reclassification Accounting | Day-26 | W-13 | |
Asset Retirement | Day-26 | W-13 | |
Setup Retirement Options | Day-26 | W-13 | |
Setup Retirement Accounts | Day-26 | W-13 | |
Partial Vs Full Retirement | Day-26 | W-13 | |
Setup Cost of Removal A/c | Day-26 | W-13 | |
Setup Distribution Set | Day-26 | W-13 | |
Initiate Retirement | Day-26 | W-13 | |
View Retirement | Day-26 | W-13 | |
Prepare Retirement | Day-26 | W-13 | |
Post Retirement | Day-26 | W-13 | |
Depreciation and Create Accounting | Day-26 | W-13 | |
View Retirement Accounting | Day-26 | W-13 | |
Related AR and AP Accounting | Day-26 | W-13 | |
Asset Reinstatement | Day-26 | W-13 | |
What is Reinstatement | Day-26 | W-13 | |
Perform Reinstatement | Day-26 | W-13 | |
Depreciation and Create Accounting | Day-26 | W-13 | |
View Reinstatement Accounting | Day-26 | W-13 | |
Reinstatement Limitations | Day-26 | W-13 | |
Reports | Day-26 | W-13 | |
Key Reports (Asset Cost, Journal Entry Reserve Ledger Report) | Day-26 | W-13 | |
Period End Process | Day-26 | W-13 | |
Explain Period End Reconciliation in FA Module | Day-26 | W-13 | |
– FA to GL Reconciliation | Day-26 | W-13 | |
11 | Cash Management | Day-27 | W-13 |
Configuration | Day-27 | W-13 | |
Cash Management Setups | Day-27 | W-13 | |
Banks, Branches & Bank Accounts | Day-27 | W-13 | |
Creating Bank | Day-27 | W-13 | |
Transaction Codes | Day-27 | W-13 | |
Transactions | Day-27 | W-13 | |
Manual Reconciliation | Day-27 | W-13 | |
Match Receipts | Day-27 | W-13 | |
Match Payments | Day-27 | W-13 | |
Auto Reconciliation | Day-27 | W-13 | |
Enter Bank Statements, Lines | Day-27 | W-13 | |
Enter Receipts, Payments | Day-27 | W-13 | |
Setup Matching Rules | Day-27 | W-13 | |
Run Auto Reconciliation | Day-27 | W-13 | |
Validate Unreconciled Items | Day-27 | W-13 | |
Bank Account Transfers | Day-27 | W-13 | |
Manual Transfers Between Bank Accounts | Day-27 | W-13 | |
Setup of Internal Bank Transfers | Day-27 | W-13 | |
Accounting for Bank Transfers | Day-27 | W-13 | |
Reports | Day-27 | W-13 | |
Key Reports in Cash Management (Cash to GL Reconciliation , Cash in Transit etc.) | Day-27 | W-13 | |
12 | Other Topics – Data Import Methods | Day-28 | W-14 |
FBDI – File Based Data Import | Day-28 | W-14 | |
OER – Oracle Enterprise Repository | Day-28 | W-14 | |
UCM – Universal Content Manager | Day-28 | W-14 | |
Downloading Template | Day-28 | W-14 | |
Entering Data in Template | Day-28 | W-14 | |
Generating CSV and ZIP files | Day-28 | W-14 | |
Uploading Data to UCM | Day-28 | W-14 | |
Upload UCM Data to Interface Table | Day-28 | W-14 | |
Importing Data | Day-28 | W-14 | |
One example demo end-to-end | Day-28 | W-14 | |
ADFDI – ADF Desktop Interator | Day-28 | W-14 | |
Download Integrator | Day-28 | W-14 | |
Install ADF-DI | Day-28 | W-14 | |
Configure MS Excel | Day-28 | W-14 | |
ADF-DI Uploads | Day-28 | W-14 | |
Download Spreadsheet Template | Day-28 | W-14 | |
(E.g. Journals, AP Invoices, AR Invoices, Asset Addition etc) | Day-28 | W-14 | |
Enter data in Template | Day-28 | W-14 | |
Validate Data | Day-28 | W-14 | |
Upload Data | Day-28 | W-14 | |
ADF-DI Upload Journals | Day-28 | W-14 | |
Download Journals Template | Day-28 | W-14 | |
Enter Journal Lines in Excel | Day-28 | W-14 | |
Submit Upload from Excel | Day-28 | W-14 | |
Verify Uploaded Journal in Fusion | Day-28 | W-14 | |
One example demo end-to-end | Day-28 | W-14 |
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Course Content
Meeting Invite
Meeting Invite | Oracle FIN Cloud | Live Training
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Training Material
Training Material | FIN Live Training
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Training Recordings
Session-3 | Oracle Financials Cloud – Live Training (16-Aug-25)
2 Topics
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Session-4 | Oracle Financials Cloud – Live Training (17-Aug-25)
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Session-5 | Oracle Financials Cloud – Live Training (23-Aug-25)
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Session-7 | Oracle Financials Cloud – Live Training (30-Aug-25)
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Session-8 | Oracle Financials Cloud – Live Training (06-Sep-25)
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Session-9 | Oracle Financials Cloud – Live Training (07-Sep-25)
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Session-10 | Oracle Financials Cloud – Live Training (13-Sep-25)
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Session-11 | Oracle Financials Cloud – Live Training (14-Sep-25)
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Session-12 | Oracle Financials Cloud – Live Training (20-Sep-25)
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Session-13 | Oracle Financials Cloud – Live Training (21-Sep-25)
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Session-14 | Oracle Financials Cloud – Live Training (27-Sep-25)
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Session-15 | Oracle Financials Cloud – Live Training (28-Sep-25)
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Session-16 | Oracle Financials Cloud – Live Training (04-Oct-25)
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