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Course Duration: 12 Sessions * 2 Hours = 24 Hours
| Training Agenda |
|---|
| Module 1: Introduction & Foundation |
| Sessions: 1 to 2 |
| Get oriented with Oracle Fusion Cloud and set up the groundwork for implementation. |
| Introduction to Oracle Fusion Cloud Application |
| Navigation and User Interface |
| Understanding Quarterly Updates and Releases |
| Overview of Business Processes (P2P and O2C Cycle) |
| Data Access Set |
| Creation of User |
| Creation of Implementation Project |
| Configure Offerings |
| Module 2: Enterprise Structure |
| Sessions: 2 to 3 |
| Design the organisational backbone of your Oracle environment. |
| What is Enterprise Structure |
| Factors Influencing the Enterprise Structure |
| Configuration of Enterprise Structure |
| Creating a Legal Entity |
| Creating an Address |
| Registering a Legal Entity |
| Module 3: Chart of Accounts (COA) |
| Session: 3 |
| Build and deploy the accounting structure that drives all financial reporting. |
| Creating COA Value Sets |
| Defining COA Structure |
| Defining COA Structure Instances |
| Deploying Flexfield |
| Defining COA Values |
| Importing Chart of Accounts |
| Module 4: FBDI (File-Based Data Import) |
| Session: 3 |
| Master bulk data loading through Oracle’s spreadsheet-driven import process. |
| Understanding FBDI |
| Preparing Values in Spreadsheet |
| Preparing Hierarchies in Spreadsheet |
| Generating CSV and ZIP Files |
| Uploading the Datafile |
| Loading Datafile to Interface Table |
| Importing Values from Interface |
| Importing Hierarchies from Interface |
| Verifying COA Values and Hierarchies |
| Module 5: Accounting Calendar & General Ledger |
| Session: 4 |
| The heart of the finance module: calendars, ledgers, journals, and inquiry tools. |
| Calendar and Ledger Setup |
| Defining and Generating the Calendar |
| Primary Ledgers and Assigning Legal Entities |
| Ledger Options and GL Roles |
| Cross Validation Rules and Account Combinations |
| Secondary Ledgers and Reporting Currency Ledger |
| Daily Exchange Rates |
| Journals and Inquiry |
| Journal Entry and Posting |
| Batch Journals and Recurring Journals |
| GL Reports |
| Account Inspector, Balance Inquiry, Journal Line Inquiry |
| Account Monitor |
| Period End Process |
| Module 6: Business Units |
| Session: 4 |
| Configure the operational units that transact within your enterprise. |
| Creating Business Units |
| Business Unit Functions |
| Business Unit Reference Data Sets |
| Module 7: Banks |
| Session: 5 |
| Set up the banking framework for payments and receipts. |
| Creating Banks |
| Branches |
| Bank Accounts |
| Module 8: Payables (AP) |
| Sessions: 5 to 6 |
| End-to-end accounts payable, from supplier setup to GL reconciliation. |
| Setup |
| Payables Setup, Procurement, Invoice, and Payment Options |
| Payment Methods, Terms, Documents, and Process Profiles |
| Distribution Sets and Procurement Agents |
| AP Roles |
| Suppliers and Supplier Sites |
| Transactions and Processing |
| AP Invoices, Validation, and Accounting |
| Debit and Credit Memos |
| Recurring Invoices and Invoice Holds |
| Invoice Matching (2-way, 3-way, 4-way) |
| Payments, Prepayments, and Electronic Payments |
| Payment Process Requests |
| Multiperiod Accounting |
| Descriptive Flexfields (DFF) |
| AP Reports, Period End Process, and AP to GL Reconciliation |
| Module 9: Receivables (AR) |
| Sessions: 7 to 8 |
| Complete accounts receivable lifecycle, from customer setup to reconciliation. |
| Setup |
| Receivables Setup and System Options |
| Auto Accounting |
| Transaction Types |
| Receipt Methods and Receipt Sources |
| AR Roles |
| Customers and Customer Sites |
| Transactions and Processing |
| AR Invoices and Invoice Accounting |
| Adjustments and Credit Transactions |
| Document Sequencing |
| Receipts, Write-offs, and Chargebacks |
| AR Reports, Period End Process, and AR to GL Reconciliation |
| Module 10: Fixed Assets (FA) |
| Sessions: 9 to 11 |
| Manage the full asset lifecycle from acquisition to retirement. |
| Setup |
| Asset Key, Category, and Location Flexfields |
| Asset Setup, Fiscal Years, and Calendars |
| Depreciation Methods |
| Asset Books and Asset Categories |
| FA Roles |
| Transactions and Processing |
| Asset Validation, Addition, and Depreciation |
| Asset Accounting, Amortization, and Cost Adjustments |
| Procuring Assets from Payables and Mass Additions |
| Asset Revaluation, Transfer, Reclassification |
| Asset Retirement and Reinstatement |
| FA Reports, Period End Process, and FA to GL Reconciliation |
| Module 11: Cash Management (CM) |
| Session: 12 |
| Reconcile bank activity and manage cash across accounts. |
| Cash Management Setup |
| Banks and Bank Accounts |
| Transaction Codes |
| Manual and Auto Reconciliation |
| Bank Statements and Matching Rules |
| Internal Bank Transfers |
| Cash Management Reports |
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Course Content
Meeting Invite
Meeting Invite – Oracle Financials Cloud – Live Training (Aug-26 to Sep-26)
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