Tuesday, 14 June 2022
Tuesday, 7 June 2022
Adjustments in Fixed Assets
Adjustments in Fixed Assets
Cost adjustment of a fixed asset
In this short article, I would quickly tell you the 2 types of adjustments in fixed asset module
Monday, 14 March 2022
Accounting &reporting sequence in oracle cloud
What is Accounting
and reporting sequence in oracle cloud
In this post we will see accounting and reporting sequence in detail in
oracle cloud. We will also see the importance of accounting and reporting
sequence.
What is a sequence?
A sequence is a unique number generated by the system and assigned to an
application transaction, which is used to uniquely identify the transaction in
the system.
For example
each transaction in the system in general ledger is assigned a unique sequence
in ascending order, a missing number in the sequence would probably denotes
that the journal is deleted and raises a flag for auditors.
What is accounting and reporting sequence in oracle
cloud?
What is Accounting sequence ?
Accounting
sequence is assigned to a GL journal once the journals are posted and is
assigned to a subledger transaction / journals once they complete accounting.
What is Reporting sequence?
Reporting
sequence is assigned to a GL journal or a subledger journal transaction once we
perform the period closure. Once we close the period in general ledger , the
system it self triggers a child program "Create reporting sequence"
and assigns reporting sequence to the journals.
What is journal entry type and sequencing event in accounting and
reporting sequence?
1) Journal
entry type : General ledger
Sequencing event : Posting
This combination will create the accounting sequence for the general ledger
journals.
2) Journal
entry type : General ledger
Sequencing event : Period Close
This combination will create the reporting sequence for the general ledger
journals.
3) Journal
entry type : Subledger
Sequencing event : Subledger Accounting
This combination will create the accounting sequence for the subledger
journals.
2) Journal
entry type : Subledger
Sequencing event : Period Close
This combination will create the reporting sequence for the subledger journals.
Friday, 4 February 2022
Accrue at Receipt and Accrue at Period End
Accrue at Period End means that when a receipt is saved, the accrual transactions are not immediately recorded and sent to the general ledger; instead, the accounting entries are generated and sent at the end of the month by running the Receipt Accruals - Period-End Process.
All items with a destination type of either Inventory are accrued on receipt.
For items with a destination type of Expense, you have the option of accruing on receipt or at period end.
Wednesday, 12 January 2022
Related Value Sets
In this article you will about the new feature provided by Oracle - Related Value Sets
Lets look into the below article for more insights.
Sunday, 12 December 2021
Oracle Financials Cloud 22A Highlights
To get the information on the latest value additions in 22A, please click on below link.
Oracle Financials Cloud 22A What's New
Thursday, 21 October 2021
Data Conversion Strategy
Below is the diagrammatic illustration of Data Conversion Strategy to be followed
Please follow the below steps for data conversion activity from legacy system to oracle cloud
Wednesday, 13 October 2021
Tuesday, 12 October 2021
Oracle Cloud Update - 21D
Oracle Cloud Update - 21D
Please read about the latest features in oracle's latest update 21D
Click on below link:
Oracle Financial Update - 24D
🚀 Exciting News for Oracle Financials Users! 🚀 Oracle Cloud Update 24D introduces a powerful enhancement to Segment Value Security in O...
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BILL MANAGEMENT It's a self-service approach that reduces customer inquiries and also reduces the tasks that the organization does of r...
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General Ledger 24B: Accounting Data Archive and Purge 1. Setup and Maintenance - Manage Archive and Purge Policies 2. Select archive and p...
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Oracle Fusion Cloud Financials 24A What's New