exploring agis r12

45
Exploring the Mystery that is AGIS Session ID# -11588 Lee Briggs BizTech

Upload: rodolfocalvillo

Post on 15-Dec-2015

262 views

Category:

Documents


2 download

DESCRIPTION

AGIS_R12

TRANSCRIPT

Exploring the Mystery that is AGIS

Session ID# -11588

Lee Briggs

BizTech

Agenda

•  Introductions •  About Lee Briggs •  About BizTech •  Explanation and Discussion of AGIS •  Sample Configuration in R12 •  Using AGIS as a Hub on a Multiple

Instance environment •  Questions

Lee Briggs •  Practice Director, Financials Management at BizTech •  13 years Oracle Experience as an implementation

consultant •  Over 38 Full Cycle Implementations: 10.7 – 12.2 Beta •  Certified Oracle General Ledger Specialist – 11i,

12.1.3 •  Certified Oracle Accounts Payable Specialist – 11i,

12.1.3 •  Certified Oracle Fusion Accounts Payables Specialist •  Coordinator, ADI SIG

Lee Briggs •  Prior Presentations •  Inter- and Intra- Company Accounting: A Deep Dive –

Collaborate 12, OpenWorld 2012 , Insight Magazine Fall 2012 •  Desktop Integrators - You mean I can load data from a

spreadsheet straight into an interface??– Collaborate 11 •  FSGs in Release 12:Since ADI Is Not Supported, How Do I

Use BI Publisher? – Collaborate 09 •  XML Publisher – Taking Reports from drab to FAB! –

Collaborate 07

About BizTech •  Leading Mid-Atlantic Oracle Platinum Partner and IT

Services firm focused on Oracle Applications and Technology solutions •  Over 450 successful Oracle implementations over the

past 15 years •  Based in King of Prussia, PA with offices in New

Jersey, New York City and Washington DC •  Service Fortune 500 companies, organizations and

government agencies •  100 + Oracle certified and experienced consultants

Oracle  So*ware  Provider  

Oracle  Technology  and  Business  Intelligence  •  End  to  end  service  offering  in  

BI  and  EPM  •  Fully  staffed  team  of  Data  

Architects  and  DBAs  •  Solid  experience  in  RAC,  HA  

and  HS  designs  •  Understand  full  Oracle  

technology  stack  Clients  

Oracle  ApplicaHons  •  Full  PorIolio  of  Oracle  

ApplicaHons  SoluHons  •  ImplementaHon,  Upgrade,  

MigraHon  •  Since  1990  MPL6  to  R12  

Experience  •  Over  400  successful  

implementaHons  to  date  

Managed  Services  and  IT  Outsource  •  Remote  or  Onsite  services  •  Full  porIolio  of  Oracle  

ApplicaHons  and  Technologies  •  World-­‐Class  Data  Center  with  

24x7  Support  •  Instant  capacity,  operaHonal  

focused  business  model  

Oracle  SoVware  Provider  •  Full  PorIolio  of  Oracle  License  

Resell  •  Help  Clients  OpHmize  License  

models  •  RapidApp  BI  SoVware  for  the  

agile  enterprise  •  RapidApp  Auditor  to  manage  

change  and  GRC  

Oracle  Applica6ons  

Managed  Services  ITO  

Oracle  Technology  BI/EPM  

Client-Centric Practice Areas

EXPLANATION AND DISCUSSION OF AGIS

What is AGIS? •  Streamlines the intercompany trading and

reconciliation process across ledgers •  Allows companies to comply with local

regulations •  Allows institutions to treat intercompany

transactions as “arms length” transactions

What is AGIS? •  Allows companies to follow established

corporate standards for processing intercompany transactions between related legal entities of an enterprise •  Provides interactive reconciliation reporting,

which allows you to drill down to the details of intercompany account balances so you can quickly find the source of discrepancies in the balances of each trading partner’s account.

SAMPLE CONFIGURATION IN R12

Review of R12 Instance •  Single Ledger (Vision Operations) •  Two Legal Entities •  Vision Operations •  Vision Leasing •  Two Operating Units •  Vision Operations •  Vision Construction

R12 Configurations •  Setups for AGIS are grouped into 5 main

areas •  Environment Setups • General Ledger Setups • Receivables Setups •  Payables Setups •  Advanced Global Intercompany System

setups

Employees •  2 Employees and Users setup •  “AGIS OPERATIONS” •  “AGIS CONSTRUCTION”

•  “AGIS OPERATIONS” will be the initiator of the Intercompany transaction •  “AGIS CONSTRUCTION” will be the recipient

of the transaction

Define Users • Define 2 users •  AGIS.OPERATIONS •  AGIS.CONSTRUCTION •  Assign the correct employee to each user •  Assign responsibilities •  Intercompany Superuser •  Intercompany User •  For invoicing feature, BOTH Operating Units

MUST have Receivables fully configured

Define Intra-Company Accounts

•  Intercompany Accounts may need to be configured for each Legal Entity •  Only if “Intra-company Balancing” is enabled

for the Ledger For more information on IntraCompany Accounting, please see “Inter and Intra Company Accounting in R12 - A Deep Dive”, from Collaborate 2012, Insights Magazine Fall Edition 2012 by Thomas Simkiss and Lee Briggs

Define Inter-Company Accounting

•  Inter-company accounting allows you to define the relationship between legal entities •  In this example, transactions are only flowing

from Operations to Construction. The only relationship defined for this session is therefore Operations to Construction.

Navigation: General Ledger SuperUser > Setup > Financials > Accounting Setup Manager > Accounting Setups

Define Inter-Company Accounts

Define Inter-Company Accounts

Define Inter-Company Organizations

• Create two organizations to be used for transaction processing in AGIS. • Organizations HAVE to be enabled in order

for transaction processing to complete successfully

Responsibility – Intercompany SuperUser Navigation – Setup > Organizations

Define Inter-Company Organizations

Define Security Access •  Security defines which user / employee will

have access to which Intercompany Organizations

Responsibility – Intercompany SuperUser Navigation – Setup > Security

Define Security Access

Define Transaction Types •  If invoicing is required

Define System Options

Define Invoicing Options Receivable Assignments

Define Invoicing Options Customer Association

Define Invoicing Options Customer Association

Define Invoicing Options Supplier Association

Define Invoicing Options Supplier Association

Define Invoicing Options Trading Partners

Configuration is Complete •  Definition of Intra- and Inter-Company Accounts •  Definition of Intercompany Relationship & Account

Definition •  Organization Creation •  Security Setup for Users •  Transaction Type Creation •  Invoicing Options •  Receivables Assignments •  Customer / Supplier Association •  Defining System Options

PROCESSING AGIS TRANSACTIONS IN R12

Transaction Processing •  At a high level, there are 4 steps to AGIS

transaction processing •  Initiation of a transaction by an Intercompany

(I/C) organization •  Completion of accounting by the Initiator •  Completion of the accounting by the Recipient •  Approval of the transaction by the Recipient •  Optionally, AR and AP Invoice processing is

undertaken

Processing an AGIS Transaction Outbound Transaction

Processing an AGIS Transaction Outbound Transaction

Processing an AGIS Transaction Outbound Transaction

Processing an AGIS Transaction Inbound Transaction

Processing an AGIS Transaction Inbound Transaction

Intercompany Transaction – Receivables Invoice

Intercompany Transaction – Payables Invoice

ADDITIONAL USES FOR AGIS

AGIS and FSAH •  Financial Services Accounting Hub (FSAH) is

designed to be used as a repository for transactions from disparate systems to be accounted for in a single accounting system •  SubLedger Accounting allows you to design

rules for specific transaction types and events.

AGIS and FSAH •  If you’re using FSAH in R12, you can also

use AGIS to apply common intercompany processing rules across the entire enterprise •  Since FSAH is designed to accept

transactions from disparate systems (whether Oracle, Peoplesoft, SAP, or some 3rd party legacy), you can use FSAH and AGIS to act as a hub for ALL intercompany transactions, and acccount for them in one GL system

Questions? Comments?

THANK YOU Lee Briggs

[email protected]

@BTLeeBriggs