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Page 1: Oracle EBS R12 Receivables_TRAIN

Oracle EBS R12 ReceivablesCreated on Tuesday, May 06, 2008

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COPYRIGHT & TRADEMARKS

Copyright © 2003, 2007, Oracle. All rights reserved. Powered by OnDemand Software. Distributed by Oracle under license from Global Knowledge Software LLC. © 1998-2007. All rights reserved.

The information contained in this document is subject to change without notice. If you find any problems in the documentation, please report them to us in writing. This document is not warranted to be error-free. Except as may be expressly permitted in your license agreement for these Programs, no part of these Programs may be reproduced or transmitted in any form or by any means, electronic or mechanical, for any purpose.

If this documentation is delivered to the United States Government or anyone using the documentation on behalf of the United States Government, the following notice is applicable:

U.S. GOVERNMENT RIGHTSThe U.S. Government’s rights to use, modify, reproduce, release, perform, display, or disclose these training materials are restricted by the terms of the applicable Oracle license agreement and/or the applicable U.S. Government contract.

Oracle, JD Edwards, PeopleSoft, and Siebel are registered trademarks of Oracle Corporation and/or its affiliates. Other names may be trademarks of their respective owners.

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Table of ContentsIntroduction........................................................................................................................vReceipts...............................................................................................................................1

Entering Receipts..........................................................................................................................1Applying Receipts........................................................................................................................4Entering Miscellaneous Receipts.................................................................................................8Reapplying Receipts...................................................................................................................11Reversing Receipts.....................................................................................................................17

Bills Receivable................................................................................................................21Creating Bills Receivable...........................................................................................................21Searching for Bills Receivable...................................................................................................24

Customers.........................................................................................................................27Defining Customer Account Drawee Sites.................................................................................27Managing Customers..................................................................................................................30

Collections........................................................................................................................51Reprinting Historical Dunning Letters.......................................................................................51Printing a Collection Report.......................................................................................................55Viewing Bills Receivable from the Collections Page................................................................58

Document Management..................................................................................................63Creating Desktop Documents.....................................................................................................63Managing Accounts Receivables Attachments..........................................................................67Printing Transactions..................................................................................................................74

Accounts Receivable Transactions.................................................................................79Entering Freight Information......................................................................................................79Reviewing Accounting Information...........................................................................................85Creating Accounting Information...............................................................................................89Entering Revenue Credits...........................................................................................................94Entering Quick Transactions....................................................................................................100Entering Invoices with Rules...................................................................................................105Entering Invoices with Installments.........................................................................................113Using Invoice Rules.................................................................................................................119Entering Commitments.............................................................................................................127Batching Transactions..............................................................................................................132Completing Transactions..........................................................................................................140Voiding Transactions...............................................................................................................146Viewing Transactions...............................................................................................................161Placing an Item in Dispute.......................................................................................................173Copying Invoices......................................................................................................................178Entering Manual Adjustments..................................................................................................186Creating Automatic Adjustments.............................................................................................193Approving Adjustments...........................................................................................................198Viewing Autoadjustments Report............................................................................................201Maintaining Transactions.........................................................................................................206Crediting Transaction Lines.....................................................................................................211Viewing Credit Transaction Lines............................................................................................218Executing the AutoInvoice Program........................................................................................224Generating AutoInvoice Program Reports...............................................................................228Running the Balance Forward Bills Program...........................................................................232Viewing and Correcting AutoInvoice Exceptions....................................................................235

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Printing Balance Forward Bills................................................................................................238Revenue Management...................................................................................................243

Running Revenue Recognition.................................................................................................243Using Revenue Accounting......................................................................................................246Unscheduing Revenue..............................................................................................................252

Accounting for Receivables...........................................................................................259Opening and Closing Accounting Periods...............................................................................259Using Subledger Accounting Inquiries: Accounting Events....................................................261Using Subledger Accounting Inquiries: Journal Entries..........................................................264Using Subledger Accounting Inquiries: Journal Entry Lines...................................................266Viewing Subledger Accounting Reports..................................................................................269Viewing Accounting Lines in Receivables..............................................................................274

Funds Capture Process Home Page.............................................................................281Searching and Viewing Settlement Batch Information............................................................281Searching and Viewing Authorization Information.................................................................283Searching and Viewing Settlement Information......................................................................287Searching and Viewing Credit Information.............................................................................289Creating Settlement Batches.....................................................................................................293Submitting Offline Transactions..............................................................................................295

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IntroductionUsing Accounts Receivables enables you to manage receipts, transactions, invoices, customers, and credits through a series of workbenches.

Oracle Receivables provides four integrated workbenches that you can use to perform your day-to-day Accounts Receivable operations. You can use the Receipts Workbench to perform most of your receipt-related tasks and the Transactions Workbench to process your invoices, debit memos, credit memos, on-account credits, chargebacks, and adjustments. The Bills Receivable workbench enables you to create, update, remit, and manage your bills receivable.

Each workbench enables you to find critical information in a flexible way, see the results in your defined format, and selectively take appropriate action. For example, in the Transactions Workbench, you can query transactions based on the bill-to or ship-to customer, currency, transaction number, or General Ledger date. You can then review financial, application, and installment information, perform adjustments, create a credit memo, or complete the transaction. All of the windows you need are accessible from just one window, so you can query a transaction once, then perform several operations without having to find it again.

Upon completion of this module, you will be able to:• Manage receipts.• Manage bills receivable.• Define customers.• Maintain collections.• Complete accounts receivables transactions.• Run revenue management.• Use accounting for receivables.• Use the Funds Capture Process Home page.

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ReceiptsReceipts includes information on entering and applying receipts, entering miscellaneous receipts, reapplying receipts, and reversing receipts.

Upon completion of this lesson, you will be able to:• Enter receipts.• Apply receipts.• Enter miscellaneous receipts.• Reapply receipts.• Reverse receipts.

Entering ReceiptsYou can enter two types of receipts in Oracle Receivables, Standard receipts such as Payment (cash or a check) that you receive from your customers for goods or services. Also known as cash receipts. Miscellaneous receipts, such as Revenue earned from investments, interest, refunds, stock sales, and other nonstandard items.

You can enter receipts and apply them to transactions in either Open or Future accounting periods. You can also create chargebacks or adjustments against these transactions.

You can apply receipts to invoices, debit memos, deposits, on-account credits, and chargebacks. You can partially or fully apply a receipt to a single debit item or to several debit items.

In this topic, you will enter receipts in the Oracle Receivables.

Procedure

 

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Step Action

1.   Begin by navigating to the Receipts page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Receipts: Receipts link.

4.   Use the Receipts page to enter new or query existing receipts.

 

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Step Action

5.   Click in the Receipt Method field.

6.   Oracle Receivables uses the receipt method to determine the accounting and remittance bank accounts for this receipt.

If you select the Automatic receipt method, then Oracle Receivables defaults the payment method and instrument number.Enter the desired information into the Receipt Method field. Enter "Manual".

7.   Click in the Receipt Number field.

8.   Enter the desired information into the Receipt Number field. Enter "ReceiptNumber321".

9.   Click in the Receipt Amount field.

10.   Enter the desired information into the Receipt Amount field. Enter "1000".

11.   Click in the Name field.

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Step Action

12.   If multiple customers have transactions with the number you entered, Oracle Receivables displays apage from which you can select a customer. If you enter a number here, Oracle Receivables defaults the number in the Applications page when you apply this receipt.Enter the desired information into the Name field. Enter "AT&T Universal Card".

13.   Click in the Number field.

14.   Click the Save button.

15.   You have entered receipts in the Oracle Receivables.End of Procedure.

Applying ReceiptsYou can apply receipts to any type of transaction except guarantees and standard credit memos. You can apply all or part of a receipt or on-account credit to a single debit item or to several debit items.

For example, your customer may send a single check to pay all of one invoice and part of another invoice. Or, a customer may have an on-account credit he will expect you to use with his receipt to close an open debit item.

You can apply receipts to an entire transaction and prorate the receipt amount across all transaction lines. Or, you can apply receipts to specific transaction lines.

In this topic, you will apply receipts to the transaction.

Procedure

 

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Step Action

1.   Begin by navigating to the Receipts page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Receipts: Receipts link.

4.   Use the Receipts page to enter new, or query for the existing receipts, and apply the receipts to transaction lines.

 

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Step Action

5.   Click the View menu.

6.   Click the Query By Example menu.

7.   Click the Enter menu.

8.   Click in the Receipt Method field.

9.   Enter the desired information into the Receipt Method field. Enter "Manual".

10.   Click in the Receipt Number field.

11.   Enter the name or number of the customer who remitted this receipt.Enter the desired information into the Receipt Number field. Enter "ReceiptNumber321".

12.   Click the View menu.

13.   Click the Query By Example menu.

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Step Action

14.   Click the Run menu.

15.   Click the Apply button.

 

 

Step Action

16.   Click in the Apply To field.

17.   Enter the transaction number to which you want to apply this receipt.Enter the desired information into the Apply To field. Enter "12049".

18.   Click in the Apply Date field.

19.   Click the Save button.

20.   You have applied receipts to the transaction.End of Procedure.

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Entering Miscellaneous ReceiptsYou can enter miscellaneous receipts in any currency defined in the system if you have at least one remittance bank account which has the Multiple Currencies Allowed checkbox selected. If no such bank account exists, you can only enter receipts in the same currency in which bank accounts exist.

Non-invoice related transactions such as investment and interest income are known as miscellaneous receipts in Oracle Receivables.

In this topic, you will enter miscellaneous receipts.

Procedure

 

 

Step Action

1.   Begin by navigating to the Receipts page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

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Step Action

3.   Click the Receipts: Receipts link.

4.   Use the Receipts page to enter your miscellaneous receipts.

 

 

Step Action

5.   Click in the Receipt Method field.

6.   Oracle Receivables uses the receipt method to determine the accounting and remittance bank accounts for this receipt.

If you select the Automatic receipt method, then Oracle Receivables defaults the payment method and instrument number.Enter the desired information into the Receipt Method field. Enter "Manual".

7.   Click in the Receipt Number field.

8.   Enter the desired information into the Receipt Number field. Enter "MiscReceipt321".

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Step Action

9.   Click in the Receipt Amount field.

10.   Enter the desired information into the Receipt Amount field. Enter "150".

11.   Click the Receipt Type list.

 

 

Step Action

12.   Click the Miscellaneous list item.

 

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Step Action

13.   Click the OK button.

14.   The Receivables activity determines the default distribution set and accounting for this transaction.

You can enter any Receivables activity with a Miscellaneous Cash type except an activity that was previously set up with a location-based tax code.Click in the Activity field.

15.   Enter the desired information into the Activity field. Enter "Miscellaneous Receipts".

16.   Click in the Distribution Set field.

17.   Click the Save button.

18.   You have entered miscellaneous receipts.End of Procedure.

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Reapplying ReceiptsWhen you reapply a receipt, you first 'unapply' the original receipt applications; this reopens each transaction or transaction line that was previously closed by the receipt. However, you cannot unapply a receipt that has adjustments associated with it unless you first readjust the transaction to its original amount. In addition, you cannot unapply a transaction if there is a charge back against it and the charge back has any activities against it.

In this topic, you will reapply receipts.

Procedure

 

 

Step Action

1.   Begin by navigating to the Receipts page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Receipts: Receipts link.

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Step Action

4.   On the Receipts page, query the receipt to reapply.

 

 

Step Action

5.   Click the View menu.

6.   Click the Query By Example menu.

7.   Click the Enter menu.

8.   Click in the Receipt Method field.

9.   You can reapply both automatic and manually entered receipts.Enter the desired information into the Receipt Method field. Enter "Manual".

10.   Click in the Receipt Number field.

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Step Action

11.   You have to query the receipt to reapply.Enter the desired information into the Receipt Number field. Enter "ReceiptNumber321".

12.   Click the View menu.

13.   Click the Query By Example menu.

14.   Click the Run menu.

15.   The Run menu retrieves all the details pertaining to the queried receipt number.

16.   Click the Apply button.

 

 

Step Action

17.   Reverse the applications by clearing the Apply checkbox next to the transaction.Click the Apply option.

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Step Action

18.   Click the Save button.

19.   Click the Close button.

 

 

Step Action

20.   Click the Apply button.

 

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Step Action

21.   Click in the Apply To field.

22.   You will now apply this receipt to a different transaction or transaction line.Enter the desired information into the Apply To field. Enter "12049".

23.   Click in the Apply Date field.

24.   Click in the Amount Applied field.

25.   Enter the desired information into the Amount Applied field. Enter "800".

26.   Click the Save button.

27.   Once you save your work, Oracle Receivables creates the reversingjournal entries for each applicationthat you reopened.

28.   You have completed the Reapplying Receipts procedure.End of Procedure.

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Reversing ReceiptsReceivables lets you reverse a receipt when your customer stops payment on a receipt or if a receipt comes from an account with insufficient funds. You can also reverse a receipt if you want to re-enter and reapply it in Receivables.

In this topic, you will reverse receipts.

Procedure

 

 

Step Action

1.   Begin by navigating to the Receipts page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Receipts: Receipts link.

4.   On the Receipts page, query the receipt to reverse.

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Step Action

5.   Click the View menu.

6.   Click the Query By Example menu.

7.   Click the Enter menu.

8.   Click in the Receipt Method field.

9.   Enter the desired information into the Receipt Method field. Enter "Manual".

10.   Click in the Receipt Number field.

11.   Enter the desired information into the Receipt Number field. Enter "ReceiptNumber321".

12.   Click the View menu.

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Step Action

13.   Click the Query By Example menu.

14.   Click the Run menu.

15.   The Run menu retrieves all the details that have been entered against the queried receipt number.

16.   Click the Reverse... 1 button.

17.   In the Date field, enter the date of this receipt reversal and the date to post this reversal to your general ledger.

The default for the reversal and GL dates is the current date.

 

 

Step Action

18.   Click in the Category field.

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Step Action

19.   In the Category field, enter the category for this reversal.

Valid categories include Non-Sufficient Funds, Reverse Payment, and Stop Payment. Use the Reverse Payment category when the receipt has been incorrectly entered and you want to re-enter it.Enter the desired information into the Category field. Enter "Reverse Payment".

20.   Click in the Reason field.

21.   In the Reason field, enter a reason for this receipt reversal. Typical reasons include Insufficient Funds, Account Closed, Wrong Amount, Wrong Customer, and Uncollectable.Enter the desired information into the Reason field. Enter "Payment Reversal".

22.   Click the Reverse button to create a standard reversal.Click the Reverse button.

 

 

Step Action

23.   Click the Save button.

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Step Action

24.   You have completed the Reversing Receipts procedure.End of Procedure.

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Bills ReceivableBills Receivable includes information on creating bills receivable, searching for and managing bills receivable.

Upon completion of this lesson, you will be able to:• Create bills receivable.• Search for bills receivable.

Creating Bills ReceivableOracle Receivables treats a bill receivable as a separate transaction. You can create bills receivable through the Bills Receivable window.

In this topic, you will create bills receivables.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Bills Receivable page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Bills Receivable: Transactions link.

5.   Use the Bills Receivable page to manually create a bill receivable and assign transactions to the bill.

You can also query and update existing bills receivable using this page.

 

 

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Step Action

6.   Enter the transaction batch source.

If you assigned a transaction batch source to the AR: Bills Receivable Batch Source profile option, the batch source defaults in the Source field. If the transaction batch source contains a bills receivable transaction type, the transaction type defaults inthe Type field.Click in the Source field.

7.   Enter the desired information into the Source field. Enter "Automatic Numbering".

8.   Enter the bills receivable transaction Type.Click in the Type field.

9.   Enter the desired information into the Type field. Enter "Unsigned BR".

10.   Enter the desired information into the Currency field. Enter "USD".

11.   Click the Main tab.

12.   Enter the customer drawee for this bill. You can enter the drawee by Name,Number, or Taxpayer ID.Click in the Drawee: Name field.

13.   Enter the desired information into the Drawee: Name field. Enter "General Technologies".

14.   Click in the Drawee: Number field.

15.   Click in the Drawee: Location field.

16.   Enter the desired information into the Drawee: Location field. Enter "Sorbonne (OPS)".

17.   Click in the Drawee: Address field.

18.   Click in the Legal Entity field.

19.   Enter the desired information into the Legal Entity field. Enter "Vision Operations".

20.   Click the Save button.

21.   You have completed the Creating Bills Receivable procedure.End of Procedure.

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Searching for Bills ReceivableYou can view detailed information about a bill receivable, including current balance, current status, drawee, and remittance details in Oracle Receivables. Use the Find Bills Receivable page to search for a bill that you want to view.

In this topic, you will search for a bills receivable using the Find Bills Receivable page.

Procedure

 

 

Step Action

1.   Begin by navigating to the Find Bills Receivable page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

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Step Action

4.   Click the Bills Receivable:Portfolio Mgmt link.

5.   Use the Find Bills Receivable page to enter selection criteria for the bills receivable that you want to view.

 

 

Step Action

6.   Click in the Operating Unit field.

7.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

8.   Click the Find button.

  or Press [Alt+i].

 

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Step Action

9.   Click the horizontal scrollbar.

10.   You have completed the Searching for Bills Receivable procedure.End of Procedure.

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CustomersCustomers includes information on defining and managing customers.

Upon completion of this lesson, you will be able to:• Define customer account drawee site.• Manage customers.

Defining Customer Account Drawee SitesYou have to define customer account addresses as drawees for bills receivable. You must define a drawee site for each customer account for whom you create bills receivable. You can define more than one address as a drawee, but for each account you can designate only one address as the primary drawee site.

In this topic, you will define customer account drawee site.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Customers page.Click the Receivables, Vision Operations (USA) link.

2.   Click the vertical scrollbar.

3.   Click the Customers link.

4.   The Search region enables you to find the customer account for which you want to assign a business purpose.

 

 

Step Action

5.   Click in the Name field.

6.   Enter the desired information into the Name field. Enter "AT&T Universal Card".

7.   Click the Go button.

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Step Action

8.   Click the Details button.

 

 

Step Action

9.   Click the vertical scrollbar.

10.   You select the first customer address that you want to define as a drawee site.Click the Details button.

 

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Step Action

11.   Click the Business Purposes tab.

12.   Click the Add Another Row button.

13.   Click the Purpose list.

14.   Click the Drawee list item.

15.   Select the Primary option if this is the primary drawee site.Click the Primary option.

16.   Click the Save button.

17.   Click the Apply button.

18.   You have completed Defining Customer Account Drawee Sites procedure.End of Procedure.

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Managing CustomersThe Customers page allows you to create, view, and manage customers.

In this topic, you will learn to manage customers.

Procedure

 

 

Step Action

1.   Begin by navigating to the Customers page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Customers link.

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Step Action

5.   The Customers page enables you to create, view, and maintain customer information.

 

 

Step Action

6.   Click the Create button.

7.   The Create Organization page enables you to enter details and create a customer type: organization.

 

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Step Action

8.   Click in the Organization Name field.

9.   Enter the desired information into the Organization Name field. Enter "MRF Inc.".

10.   Click in the Alias field.

11.   Enter the desired information into the Alias field. Enter "MRF".

12.   Click in the Account Number field.

13.   Enter the desired information into the Account Number field. Enter "786786".

14.   Click in the Account Description field.

15.   Enter the desired information into the Account Description field. Enter "MRF Tyres".

16.   Click the vertical scrollbar.

17.   Click in the Address Line 1 field.

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Step Action

18.   Enter the desired information into the Address Line 1 field. Enter "Nariman Point".

19.   Click in the City field.

20.   Enter the desired information into the City field. Enter "New York".

21.   Click in the County field.

22.   Enter the desired information into the County field. Enter "New York".

23.   Click in the State field.

24.   Enter the desired information into the State field. Enter "New York".

25.   Click in the Province field.

26.   Enter the desired information into the Province field. Enter "New York".

27.   Click in the Postal Code field.

28.   Enter the desired information into the Postal Code field. Enter "10001".

29.   Click the vertical scrollbar.

30.   Click in the Location field.

31.   Enter the desired information into the Location field. Enter "4568".

32.   Click the Primary option.

33.   Click the Add Another Row button.

34.   Click the Purpose list.

35.   Click the vertical scrollbar.

36.   Click the Ship To list item.

37.   Click the vertical scrollbar.

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Step Action

38.   Click in the Location field.

39.   Enter the desired information into the Location field. Enter "5623".

40.   Click the Primary option.

41.   Click the Save And Add Details button.

 

 

Step Action

42.   Click the vertical scrollbar.

43.   Click the Payment Details tab.

44.   The Payment Details tab enables you to enter details of the receipt methods and payment instruments that a customer will use.

45.   Click the Add Receipt Method button.

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Step Action

46.   Enter the desired information into the Receipt Methods field. Enter "Automatic Receipts".

47.   Click the Primary option.

48.   Click the vertical scrollbar.

49.   Click the Save button.

50.   Click the vertical scrollbar.

51.   Click the Create button.

52.   The Create Bank Account page enables you to link the customer to an existing account, or create a new bank account.

 

 

Step Action

53.   Click in the Bank Name field.

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Step Action

54.   Enter the desired information into the Bank Name field. Enter "Bank Of America".

 

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Step Action

55.   Click the Bank Name Search button.

56.   The Search and Select: Bank Name page enables you to search and select the appropriate bank name.

 

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Step Action

57.   Click the Quick Select button.

 

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Step Action

58.   Click in the Branch Name field.

 

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Step Action

59.   Enter the desired information into the Branch Name field. Enter "Bank Of America".

 

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Step Action

60.   Click in the Account Number field.

 

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Step Action

61.   Enter the desired information into the Account Number field. Enter "101205306".

 

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Step Action

62.   Click in the Accuont Name field.

 

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Step Action

63.   Enter the desired information into the Account Name field. Enter "MRF Bank Account".

 

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Step Action

64.   Click in the Currency field.

 

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Step Action

65.   Enter the desired information into the Currency field. Enter "US dollar".

 

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Step Action

66.   Click the Apply button.

 

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Step Action

67.   Click the vertical scrollbar.

68.   Click the Apply button.

69.   You have completed the Managing Customers procedure.End of Procedure.

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CollectionsCollections includes information on printing collection reports, viewing bills receivable from the Collections page, and reprinting historical dunning letters.

Upon completion of this lesson, you will be able to:• Reprint historical dunning letters.• Print a collection report.• View bills receivable from the Collections page.

Reprinting Historical Dunning LettersIf you used dunning functionality that was offered in a previous version of Receivables, then you can access those historical dunning letters by using the Dunning Letter Reprint - Historical Receivables Only program. This program reprints individual dunning letters that were created in earlier versions of Receivables, before the integration with Advanced Collections.

In this topic, you will reprint historical dunning letters.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Print Dunning Letters page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Historical Dunning Letters link.

5.   Use the Submit a New Request page to process a single request or request set. Single requests are just the job you have defined in your parameters settings. Requests sets allow you to process multiple requests and reports.

 

 

Step Action

6.   Click the OK button.

  or Press [Alt+O].

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Step Action

7.   Use the Print Dunning Letters page to enter request parameters. These parameters include the report title, operating unit, language, when to run the request, and what to do with the output.

 

 

Step Action

8.   Click in the Name field.

9.   Enter the desired information into the Name field. Enter "Dunning Letter Reprint - Historical Receivables Only".

10.   Click in the Parameters field.

11.   Use the Parameters page to enter the request parameters. These parameters will be used to define the processing rules and data to be included when the request is run.

12.   Click the Cancel button.

  or Press [Alt+C].

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Step Action

13.   Click the Submit button.

  or Press [Alt+m].

14.   Click the No button.

  or Press [Alt+N].

 

 

Step Action

15.   Click the Control list item.

16.   Click the Concurrent list item.

17.   The Find Requests page enables you to search for your request.

 

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Step Action

18.   Click the Find button.

  or Press [Alt+i].

19.   You have completed the Reprinting Historical Dunning Letters procedure.End of Procedure.

Printing a Collection ReportYou can print Collection Reports from the Print Collection Reports page. After you submit your report request, Receivables generates a request ID number. You can use this number to view the status of your report in the Requests window.

In this topic, you will print a Collection Report.

Procedure

 

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Step Action

1.   Begin by navigating to the Print Collection Reports page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Reports: Collections link.

5.   Use the Print Collection Reports page to enter general report parameters for printing reports. These parameters include the report title, operating unit, language, when to run the report, and what to do with the output.

 

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Step Action

6.   Click in the Name field.

7.   Enter the desired information into the Name field. Enter "Billing and Receipt History".

8.   Click in the Parameters field.

9.   Use the Parameters page to enter the request parameters. These parameters will be used to define the processing rules and data to be included when the report or request is run.

10.   Click in the Customer Name Low field.

11.   Enter the desired information into the Customer Name Low field. Enter "General Technologies".

12.   Click in the Customer Name High field.

13.   Click the OK button.

  or Press [Alt+O].

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Step Action

14.   Click the Submit button.

  or Press [Alt+m].

15.   Click the No button.

  or Press [Alt+N].

16.   You have completed the Printing a Collection Report procedure.End of Procedure.

Viewing Bills Receivable from the Collections PageOracle Receivables integrates with Oracle Advanced Collections to provide you with a complete collections management solution. With this integration, all collections activities take place from within Advanced Collections. The Collections page is your central work area for activities relating to collecting debt from a customer. You can also view Bills Receivable from the Collections page.

In this topic, you will view bills receivable.

Procedure

 

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Step Action

1.   Begin by navigating to the Collections page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Collections: Collections link.

5.   The Collections page is your central work area for activities relating to collecting debt from a customer.

6.   The header portion of the page displays the customer contact details and summary information about the customer's delinquency and payment history.

7.   The detail information required by the Collections personnel is located in the tabs in the details region, in the approximate order needed.

You can hide tabs not used by yourorganization.

 

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Step Action

8.   Click in the Organization field.

9.   Enter the desired information into the Organization field. Enter "General Technologies".

10.   The Transactions tab displays transaction data.Click the Transactions tab.

11.   Click the Class list.

 

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Step Action

12.   Click the Bills Receivable list item.

 

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Step Action

13.   Click in the Due Date field.

14.   Enter the desired information into the Due Date field. Enter "01-JAN-2001".

15.   Click the Include Closed option.

16.   Click the Display button.

  or Press [Alt+D].

17.   You have completed the Viewing Bills Receivable from the Collections Page procedure.End of Procedure.

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Document ManagementDocument Management includes information on printing transactions, managing attachments, and creating desktop documents. Each of these enable you to manage Accounts Receivable documents, both soft and hard copy.

Upon completion of this lesson, you will be able to:• Create desktop documents.• Manage accounts receivable attachments.• Print transactions.

Creating Desktop DocumentsDesktop Documents is a feature that lets you save an Oracle Receivables page and the current record to the Navigator for easy access. You can use this feature as a to-do list or to quickly resume working on a specific record after attending to more urgent tasks.

Oracle Receivables lets you save the Account Details page as a Desktop Document.

In this topic, you will learn to create desktop documents.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Account Details page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Account Details link.

4.   The Find Account Details page enables you to search for the account details you want based on specified search criteria.

 

 

Step Action

5.   Click in the Operating Unit field.

6.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

7.   Click in the Bill To Customer: Name field.

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Step Action

8.   Enter the desired information into the Bill To Customer: Name field. Enter "General Technologies".

9.   Click the Find button.

  or Press [Alt+i].

10.   The Account Details page enables you to access the pages where you can view account information, drill down to view and adjust balances, and view transaction details and other activities for the selected account.

 

 

Step Action

11.   Click the Details button.

  or Press [Alt+s].

12.   The Transactions page enables you to view the details of the selected account.

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Step Action

13.   Click the File menu.

  or Press [Alt+F].

14.   Click the Place on Navigator menu.

  or Press [g].

15.   The Navigator page displays the functions, documents, and processes that you customize.

 

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Step Action

16.   Click the List view option.

17.   You have completed the Creating Desktop Documents procedure.End of Procedure.

Managing Accounts Receivables AttachmentsIn certain windows, Receivables lets you view attachments from related windows. For example, you can view a file attached to a customer record when looking at that customer's transaction in the Transactions window.

In this topic, you will manage attachments in Accounts Receivables.

Procedure

 

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Step Action

1.   Begin by navigating to the Transactions page.Click the vertical scrollbar.

2.   Click the Purchasing, Vision Operations (USA) link.

3.   The Transactions page enables you to enter your invoices, debit memos, credit memos, and commitments. You can also query and update your transactions using this page.

You can view a file attached to a customer record from this page.

 

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Step Action

4.   Click in the Source field.

5.   Enter the desired information into the Source field. Enter "Manual".

 

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Step Action

6.   Click the Invoice list item.

 

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Step Action

7.   Click the Invoice list item.

 

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Step Action

8.   Click the Main tab.

9.   Click in the Bill To: Name field.

10.   Enter the desired information into the Bill To: Name field. Enter "Internal-Vision Services".

11.   Click in the Bill To: Number field.

12.   Click the Attachments... button.

13.   Click the Yes button.

  or Press [Alt+Y].

14.   Click the OK button.

  or Press [Alt+O].

15.   Use the Attachments page to define attachments for accounts receivable.

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Step Action

16.   Click in the Sequence field.

17.   Enter the desired information into the Sequence field. Enter "01".

18.   Click in the Category field.

19.   Enter the desired information into the Category field. Enter "Miscellaneous".

20.   Click in the Title field.

21.   Enter the desired information into the Title field. Enter "Interunit Transfer Policies".

22.   Click in the Long text Multiline field.

23.   Enter the desired information into the Long text Multiline field. Enter "This document outlines the policies to be followed for interunit transfers.".

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Step Action

24.   Click the Document Catalog... button.

  or Press [Alt+c].

25.   Click the Save button.

  or Press [Alt+S].

26.   You have completed the Managing Accounts Receivables Attachments procedure.End of Procedure.

Printing TransactionsThe Print Invoices page lets you generate invoices, debit memos, commitments, chargebacks, credit memos, and adjustments to send to your customers.

In this topic, you will learn to print transactions.

Procedure

 

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Step Action

1.   Begin by navigating to the Invoices page.

Click the vertical scrollbar.

2.   Click the Purchasing, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Print Documents: Invoices link.

5.   The Submit a New Request page enables you to submit an individual request or a pre-defined set of requests.

 

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Step Action

6.   Click the OK button.

  or Press [Alt+O].

7.   The Print Invoices page enables you to run a print request based on a set of specific criteria.

 

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Step Action

8.   Click in the Name field.

9.   Enter the desired information into the Name field. Enter "Invoice Print New Invoices".

10.   Click in the Parameters field.

11.   The Parameters page enables you to enter print parameters. For example, select to Order By transaction number, customer, or postal code, enter a Transaction Class or Type, select to print only Open Invoices, or enter a range of transaction numbers to print only transactions matching that criteria.

Leave a field blank if you do not want to limit your printout to transactions matching that criteria.

12.   Click in the Transaction Class field.

13.   Enter the desired information into the Transaction Class field. Enter "Invoice".

14.   Click in the Transaction Type field.

15.   Enter the desired information into the Transaction Type field. Enter "Invoice".

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Step Action

16.   Click in the Print Date Low field.

17.   Enter the desired information into the Print Date Low field. Enter "01-AUG-2007".

18.   Click in the Print Date High: 01-AUG-2007 field.

19.   Enter the desired information into the Print Date High: 01-AUG-2007 field. Enter "01-NOV-2007".

20.   Click the OK button.

  or Press [Alt+O].

21.   Click the Submit button.

  or Press [Alt+m].

22.   Click the No button.

  or Press [Alt+N].

23.   You have completed the Printing Transactions procedure.End of Procedure.

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Accounts Receivable TransactionsAccounts Receivables Transactions includes information on entering freight information, revenue credits, quick transactions, invoices with rules, and invoices with installments.

Upon completion of this lesson, you will be able to:• Enter freight information.• Review accounting information.• Create accounting information.• Enter revenue credits.• Enter quick transactions.• Enter invoices with rules.• Enter invoices with installments.• Use invoice rules.• Enter commitments.• Batch transactions.• Complete transactions.• Void transactions.• View transactions.• Place an item in dispute.• Copy invoices.• Enter manual adjustments.• Approve adjustments.• View the autoadustments report.• Maintain transactions.• Credit transaction lines.• View credit transaction lines.• Execute the autoinvoice program.• Generate autoinvoice program reports.• Run the balance forward bills program.• View and correct autoinvoices exceptions.• Print balance forward bills.

Entering Freight InformationYou can assign freight charges to an invoice or to each invoice line. When you assign freight to an invoice, Receivables includes the freight amount in the total amount of the invoice. To assign freight to each invoice line, choose Freight from the Lines page after entering your invoice lines.

In this topic, you will enter freight information.

Procedure

 

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Step Action

1.   Begin by navigating to the Transactions page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions link.

4.   The Transaction page enables you to enter your invoices, debit memos, credit memos, and commitments.

You can also query and update your transactions using this page, and review your transactions and chargebacks in the Transactions Summary page.

 

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Step Action

5.   Click in the Source field.

6.   Enter the desired information into the Source field. Enter "Manual".

7.   Click in the Name field.

8.   Enter the desired information into the Name field. Enter "AT&T Universal Card".

9.   Click in the Number field.

10.   Click the Save button.

11.   Click the Line Items button.

12.   Use the Line page to enter freight charges for a specific invoice line.

Select the invoice line to which you want to assign freight charges, then select Freight.

 

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Step Action

13.   Click in the Description field.

14.   Enter the desired information into the Description field. Enter "Standard".

15.   Click in the Quantity field.

16.   Enter the desired information into the Quantity field. Enter "1".

17.   Click in the Unit Price field.

18.   Enter the desired information into the Unit Price field. Enter "1000".

19.   Click in the Amount field.

20.   Click the Save button.

21.   Click the Freight button.

22.   The Freight page enables you to enter freight information for this invoice.

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Step Action

23.   Click in the Carrier field.

24.   Select the freight carrier from the list of values.Enter the desired information into the Carrier field. Enter "DHL".

25.   Click in the Ship Date field.

26.   Enter the desired information into the Ship Date field. Enter "30-NOV-2007".

27.   Click in the Amount field.

28.   Enter the amount of freight charges to be collected for this invoice or invoice line.Enter the desired information into the Amount field. Enter "200".

29.   Click the Save button.

30.   Click the close button.

 

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Step Action

31.   Click the Close button.

 

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Step Action

32.   Click the Complete button.

  or Press [Alt+C].

33.   You have completed the Entering Freight Information procedure.End of Procedure.

Reviewing Accounting InformationReceivables uses AutoAccounting to create the revenue accounts for your invoice after you enter your invoice lines. You can review or update the revenue account assignments for your invoice in the Distributions page.

Prerequisites include:• Enter transactions.• Define AutoAccounting.

In this topic, you will review accounting information.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.Click the Transactions link.

2.   The Transactions page enables you to query the transaction to view.

 

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Step Action

3.   [F11] enables you to query the relevant transaction.Press [F11].

 

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Step Action

4.   Click in the Number field.

5.   Enter the transaction number you want to view.Enter the desired information into the Number field. Enter "2341".

6.   [Ctrl+F11] displays the details of the transaction number you entered.Press [Ctrl+F11].

 

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Step Action

7.   Click the Distributions button.

  or Press [Alt+s].

8.   The Distributions page enables you to view distribution transactions.

9.   If this invoice uses invoicing rules, you can view the account sets for this invoice by opening the Sets for All Lines tabbed region.

10.   You have completed the Reviewing Accounting Information procedure.End of Procedure.

Creating Accounting InformationFrom the Transactions workbench, you can create accounting entries in either draft or final mode for a selected transaction. Alternatively, you can create accounting for a batch of transactions.

In this topic, you will create accounting information.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.Click the Transactions: Transactions link.

2.   The Transactions page enables you to enter your invoices, debit memos, credit memos, and commitments.

Additionally, you can query and update your transactions using this page, and review your transactions and chargebacks in the Transactions Summary page.

 

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Step Action

3.   [F11] enables you to query the transaction details.Press [F11].

 

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Step Action

4.   Click in the Date field.

5.   Enter the desired information into the Date field. Enter "29-Nov-2007".

6.   Click in the Document Num field.

7.   Enter the desired information into the Document Num field. Enter "100402".

8.   [Ctrl+F11] displays the details for the transaction number you entered.Press [Ctrl+F11].

 

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Step Action

9.   Click the Tools menu.

  or Press [Alt+T].

10.   Click the Create Accounting menu.

11.   Selecting Create Accounting from the Tools menu will initiate the Submit Accounting program.

 

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Step Action

12.   Click the Create Final Accounting Post to GL option.

13.   Click the Ok button.

  or Press [Alt+O].

14.   Click the OK button.

  or Press [Alt+O].

15.   You have completed the Creating Accounting Information procedure.End of Procedure.

Entering Revenue CreditsYou can assign revenue and non-revenue sales credits for your invoices, credit memos, and debit memos. You can also split credit among several salespersons for each invoice or invoice line item and assign additional or bonus credit above your invoice amount. You can modify existing sales credit lines as well as create new ones.

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You assign default sales credits by specifying a primary salesperson when entering your transactions. You only need to enter or update sales credit information to give sales credit to more than one salesperson and to distribute credit across your invoice lines. If each invoice line has different sales credit, you can enter line-level sales credits.

In this topic, you will enter the revenue credit.

Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions link.

4.   Use the Transactions page to enter a new transaction or query for an existing transaction.

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Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Click the Query By Example list.

7.   Click the Enter menu.

  or Press [E].

 

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Step Action

8.   Click in the Number field.

9.   Enter the desired information into the Number field. Enter "12080".

10.   Click the View menu.

  or Press [Alt+V].

11.   Click the Query By Example list.

12.   Click the Run menu.

  or Press [R].

 

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Step Action

13.   Click the Incomplete button.

  or Press [Alt+m].

14.   Click the Sales Credits button.

  or Press [Alt+a].

15.   Use the Sales Credits page to enter a new percent of revenue credit for the salesperson.

 

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Step Action

16.   Click in the Revenue Credit: % field.

17.   Enter the desired information into the Revenue Credit: % field. Enter "50".

18.   Click in the Name field.

19.   Enter the desired information into the Name field. Enter "Albert Apex".

20.   Click in the Number field.

21.   Click in the Revenue Credit: % field.

22.   Enter the desired information into the Revenue Credit: % field. Enter "50".

23.   Click in the Sales Group field.

24.   Click the Save button.

25.   Click the Yes button.

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Step Action

  or Press [Alt+Y].

26.   Click the Yes button.

  or Press [Alt+Y].

27.   Click the Close button.

 

 

Step Action

28.   Click the Complete button.

  or Press [Alt+C].

29.   You have successfully entered a revenue credit.End of Procedure.

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Entering Quick TransactionsYou can enter transactions with as little or as much information as you want. You can set up your system so that Receivables provides default values for most required transaction information.

In this topic, you will learn to enter quick transactions.

Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions Summary page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions Summary link.

4.   The Transactions Summary page enables you to enter and save a new transaction.

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Step Action

5.   Click in the Source field.

6.   Enter the desired information into the Source field. Enter "Manual".

7.   Click in the Legal Entity Name field.

8.   Click in the Bill To Customer field.

9.   Enter the desired information into the Bill To Customer field. Enter "AT&T Universal Card".

10.   Click the Open button.

  or Press [Alt+O].

11.   The Transactions page enables you to view details of the transaction you queried.

 

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Step Action

12.   Click the Line Items button.

  or Press [Alt+n].

13.   The Lines page enables you to enter invoice lines. You can enter the item, description, quantity, and unit price for the item.

 

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Step Action

14.   Click in the Description field.

15.   Enter the desired information into the Description field. Enter "Standard".

16.   Click in the Quantity field.

17.   Enter the desired information into the Quantity field. Enter "100".

18.   Click in the Unit Price field.

19.   Enter the desired information into the Unit Price field. Enter "75".

20.   Click in the Amount field.

21.   Click the Save button.

22.   You have completed the Entering Quick Transactions procedure.End of Procedure.

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Entering Invoices with RulesInvoicing rules let you determine when to recognize the receivable for invoices that span more than one accounting period. You can assign invoicing rules to invoices that you manually enter or import into Receivables through AutoInvoice.

In this topic, you will enter invoices with rules.

Procedure

 

 

Step Action

1.   Begin by navigating to the Accounting Rules page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Accounting Rules link.

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Step Action

5.   The Accounting Rules determine the number of periods and percentage of total revenue to record in each accounting period.

 

 

Step Action

6.   Click in the Name field.

7.   Enter a name for this accounting rule.Enter the desired information into the Name field. Enter "InAdvance Rule".

8.   Click in the Type field.

9.   Enter the Fixed Schedule value to prorate revenue recognition evenly over a predefinedperiod of time. The revenue recognition schedule is always the same each timeyou select this accounting rule.Enter the desired information into the Type field. Enter "Fixed Schedule".

10.   Click in the Period field.

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Step Action

11.   You can select any of the period types you defined. However, you can only select a period type that has overlapping dates if it is an adjusting period.Enter the desired information into the Period field. Enter "Month".

12.   Click in the Number of Periods field.

13.   Enter the desired information into the Number of Periods field. Enter "2".

14.   In the Schedule region, define your revenue recognition schedule for this accounting rule. Enter the percentages of revenue to recognize within each period of your accounting rule.

15.   Click in the Percent field.

16.   Click the Save button.

17.   Click the Close button.

 

 

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Step Action

18.   Click the Open button.

  or Press [Alt+O].

19.   Click the Transactions list item.

20.   Click the Open button.

  or Press [Alt+O].

21.   The Transactions page enables you to enter general information for this invoice.

 

 

Step Action

22.   Click in the Source field.

23.   Enter the desired information into the Source field. Enter "Manual".

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Step Action

24.   Click in the Name field.

25.   Enter the desired information into the Name field. Enter "AT&T Universal Card".

26.   Click in the Number field.

27.   Click the Invoicing Rule list.

 

 

Step Action

28.   Choose an Invoicing Rule of In Advance or In Arrears. Once you save this invoice,you cannot update this field, even if no value has been entered.Click the In Advance list item.

 

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Step Action

29.   Click the Save button.

30.   Click the Line Items button.

31.   The Lines page enables you to enter the item, quantity, and unit price for this item. Oracle Receivables automatically calculates the total amount.

 

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Step Action

32.   Click in the Description field.

33.   Enter the desired information into the Description field. Enter "Standard".

34.   Click in the Quantity field.

35.   Enter the desired information into the Quantity field. Enter "1".

36.   Click in the Unit Price field.

37.   Enter the desired information into the Unit Price field. Enter "1000".

38.   Click in the Amount field.

39.   In the Rules tab, enter a value for the accounting rule, duration, and the first date to begin recognizing revenue for this invoice line.Click the Rules tab.

40.   Click in the Accounting field.

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Step Action

41.   Enter the desired information into the Accounting field. Enter "InAdvance Rule".

42.   Click in the Duration field.

43.   Click the Save button.

44.   Click the Close button.

 

 

Step Action

45.   Click the Complete button.

  or Press [Alt+C].

46.   You have completed the Entering Invoices with Rules procedure.End of Procedure.

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Entering Invoices with InstallmentsYou can let your customers make invoice payments in multiple installments by using a split payment term. When you assign a split payment term to an invoice, Receivables automatically creates the payment schedules based on the invoice date and the payment terms that you define.

In this topic, you will enter invoices with installments.

Procedure

 

 

Step Action

1.   Begin by navigating to the Payment Terms page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Payment Terms link.

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Step Action

5.   The Payment Terms page enables you to define standard payment terms for your customers to specify the due date and discount date for their open items.

 

 

Step Action

6.   Click in the Name field.

7.   Enter the name of this payment term.Enter the desired information into the Name field. Enter "2 Installments".

8.   Click in the Description field.

9.   Enter the desired information into the Description field. Enter "Pay in 2 Installments".

10.   Select this checkbox if you want to enable your customers take discounts for partial payments on items associated with this payment term.Click the Allow Discount on Partial Payments option.

11.   Select the Prepayment checkbox if you are defining a prepayment payment term.Click the Prepayment option.

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Step Action

12.   Select the Credit Check option to associate a credit check with this payment term.Click the Credit Check option.

13.   Click in the Discount Basis field.

14.   Enter the discount basis that you want Oracle Receivables to use when calculating the discounts for your invoices.Enter the desired information into the Discount Basis field. Enter "Lines, Freight Items, and Tax".

15.   Click in the Installment Options field.

16.   Enter the installment option for items assigned to this payment term. This indicates how Oracle Receivables will allocate the freight and tax charged to transactions using this payment term.Enter the desired information into the Installment Options field. Enter "Allocate tax and freight".

17.   Click in the Relative Amount field.

18.   The Relative Amount is the numerator of the ratio that Oracles Receivables uses to determine the amount due for this installment of these payment terms.Enter the desired information into the Relative Amount field. Enter "50".

19.   Click in the Due Days field.

20.   Enter the desired information into the Due Days field. Enter "15".

21.   Click in the Relative Amount field.

22.   Click in the Due Days field.

23.   Enter the desired information into the Due Days field. Enter "15".

24.   Click the Save button.

25.   Click the Close button.

 

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Step Action

26.   Click the Open button.

  or Press [Alt+O].

27.   Click the Transactions list item.

28.   Click the Open button.

  or Press [Alt+O].

29.   The Transactions page enables you to enter an invoice with split payment terms.

 

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Step Action

30.   Click in the Source field.

31.   Enter the desired information into the Source field. Enter "Manual".

32.   Click in the Name field.

33.   Enter the desired information into the Name field. Enter "AT&T Universal Card".

34.   Click in the Number field.

35.   Click in the Payment Term field.

36.   In the Payment Term field, enter a split payment term or select a payment termfrom the list of values.Enter the desired information into the Payment Term field. Enter "2 Installments".

37.   Click the Save button.

38.   Click the Line Items button.

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Step Action

39.   The Lines page enables you to enter the item, quantity, and unit price for this item. Oracle Receivables automatically calculates the total amount.

 

 

Step Action

40.   Click in the Description field.

41.   Enter the desired information into the Description field. Enter "Standard".

42.   Click in the Quantity field.

43.   Enter the desired information into the Quantity field. Enter "1".

44.   Click in the Unit Price field.

45.   Enter the desired information into the Unit Price field. Enter "1000".

46.   Click in the Amount field.

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Step Action

47.   Click the Save button.

48.   Click the close button.

 

 

Step Action

49.   Click the Complete button.

  or Press [Alt+C].

50.   You have completed the Entering Invoices with Installments procedure.End of Procedure.

Using Invoice RulesUse invoicing rules to determine when to recognize your receivable for invoices that span more than one accounting period. You can only assign one invoicing rule to an invoice.

In this topic, you will use invoice rules.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Accounting Rules page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Accounting Rules link.

5.   The Accounting Rules page enables you to create revenue recognition schedules for your invoices. Accounting rules determine the number of periods and percentage of total revenue to record in each accounting period.

 

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Step Action

6.   Click in the Name field.

7.   Enter a name for this accounting rule.Enter the desired information into the Name field. Enter "InAdvance Rule".

8.   Click in the Type field.

9.   Enter a Fixed Schedule type to prorate revenue recognition evenly over a predefinedperiod of time.Enter the desired information into the Type field. Enter "Fixed Schedule".

10.   Click in the Period field.

11.   Enter the desired information into the Period field. Enter "Month".

12.   Click in the Number of Periods field.

13.   Enter the desired information into the Number of Periods field. Enter "2".

14.   In the Schedule region, define your revenue recognition schedule for this accounting rule. Enter the percentages of revenue to recognize within each period of your accounting rule.

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Step Action

15.   Click in the Percent field.

16.   Click the Save button.

17.   Click the Close button.

 

 

Step Action

18.   Click the Open button.

  or Press [Alt+O].

19.   Click the Transactions list item.

20.   Click the Open button.

  or Press [Alt+O].

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Step Action

21.   The Transactions page enables you to enter general information for this invoice.

 

 

Step Action

22.   Click in the Source field.

23.   Enter the desired information into the Source field. Enter "Manual".

24.   Click in the Name field.

25.   Enter the desired information into the Name field. Enter "AT&T Universal Card".

26.   Click in the Number field.

27.   Click the Invoicing Rule list.

 

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Step Action

28.   Choose an Invoicing Rule of In Advance or In Arrears. Once you save this invoice,you cannot update this field, even if no value has been entered.Click the In Advance list item.

 

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Step Action

29.   Click the Save button.

30.   Click the Line Items button.

31.   The Lines page enables you to enter the item, quantity, and unit price for this item. Oracle Receivables automatically calculates the total amount.

 

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Step Action

32.   Click in the Description field.

33.   Enter the desired information into the Description field. Enter "Standard".

34.   Click in the Quantity field.

35.   Enter the desired information into the Quantity field. Enter "1".

36.   Click in the Unit Price field.

37.   Enter the desired information into the Unit Price field. Enter "1000".

38.   Click in the Amount field.

39.   In the Rules tab, enter a value for an accounting rule, duration, and the rirst date to begin recognizing revenue for this invoice line.Click the Rules tab.

40.   Click in the Accounting field.

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Step Action

41.   Enter the desired information into the Accounting field. Enter "InAdvance Rule".

42.   Click in the Duration field.

43.   Click the Save button.

44.   Click the close button.

 

 

Step Action

45.   Click the Complete button.

  or Press [Alt+C].

46.   You have completed the Using Invoice Rules procedure.End of Procedure.

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Entering CommitmentsReceivables lets you create two types of commitments:

Deposits: Create a deposit to record a customer's prepayment for goods or services that you will provide in the future.

Guarantees: Create a guarantee to record a contractual agreement with your customer to conduct business over a specified period of time.

Use the Transaction page to enter or update your customer commitments. Receivables lets you update certain information depending on the commitment status.

In this topic, you will learn to enter commitments.

Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.

Click the vertical scrollbar.

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Step Action

2.   Click the Purchasing, Vision Operations (USA) link.

3.   Click the Transactions link.

4.   The Transactions page enables you to enter or update your customer commitments.

 

 

Step Action

5.   Click in the Source field.

6.   Enter the desired information into the Source field. Enter "Manual".

7.   Click in the GL Date field.

8.   Click the Class list.

 

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Step Action

9.   Click the Deposit list item.

 

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Step Action

10.   Click in the Type field.

11.   Enter the desired information into the Type field. Enter "Deposit".

12.   Click in the Ship To: Name field.

13.   Enter the desired information into the Ship To: Name field. Enter "American Telephone & Telegraph".

14.   Click in the Ship To: Number field.

15.   Click the Commitment tab.

16.   The Commitment page enables you to define a commitment and then specify the debit and credit accounts. When your customers invoice or credit against their commitments, Oracle Receivables automaticallyadjusts the commitment balance and generates reversing accounting entries.

17.   Click in the Amount field.

18.   Enter the desired information into the Amount field. Enter "1000".

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Step Action

19.   Click in the Description field.

20.   Enter the desired information into the Description field. Enter "Generic Commitment".

21.   Click the Main tab.

22.   Click the Save button.

23.   Click the Complete button.

  or Press [Alt+C].

24.   You have completed the Entering Commitments procedure.End of Procedure.

Batching TransactionsIf you group your invoices and debit memos into batches, you can view the difference between your control and actual batch totals as you enter transactions. These differences alert you to data entry errors, missing or lost transactions, or duplicate entries. In addition, by grouping your related transactions in a batch, transactions can share default attributes such as transaction type, transaction source, and payment terms.

In this topic, you will create a batch of transactions.

Procedure

 

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Step Action

1.   Begin by navigating to the Transaction Batches page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Batches link.

4.   The Transaction Batches page enables you to create a batch of transactions.

 

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Step Action

5.   Enter the transaction batch Source.

Batch sources control invoice and invoice batchnumbering and the default transaction types for transactions you add to this batch.Click in the Source field.

6.   Enter the desired information into the Source field. Enter "Manual".

7.   Enter the Batch and GL Date for this batch. The default batch date is the current date, but you can change it.

8.   Click in the Status field.

9.   Enter the desired information into the Status field. Enter "New".

10.   Enter the total number of transactions in this batch in the Control Count field, then enter the total dollar amount of transactions in this batch in the Control Amount field.

11.   Click in the Totals: Control: Count field.

12.   Enter the desired information into the Totals: Control: Count field. Enter "2".

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Step Action

13.   Click in the Totals: Control: Amount field.

14.   Enter the desired information into the Totals: Control: Amount field. Enter "5000".

15.   To add transactions to this batch, choose Transactions.Click the Transactions button.

  or Press [Alt+r].

16.   Use the Transactions page to enter your invoices, debit memos, credit memos, andcommitments. You can also query and update your transactions in this page. The Transactions page enables you to add transactions to a batch.

 

 

Step Action

17.   Click in the Ship To: Name field.

18.   Enter the desired information into the Ship To: Name field. Enter "AT&T Universal Card".

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Step Action

19.   Click in the Ship To: Number field.

20.   Enter the customer Bill-to Name and Location for this transaction. If the bill-to customer has a primary bill-to location, then Oracle Receivables defaults thelocation and address.

21.   The Sold To and Paying Customer fields display default values. You can accept them or enter new values.

22.   Click the Line Items button.

  or Press [Alt+n].

23.   The Lines page enables you to enter the transaction lines for transactions.

 

 

Step Action

24.   Enter the description for this invoice line. Oracle Receivables prints the description on the invoice.Click in the Description field.

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Step Action

25.   Enter the desired information into the Description field. Enter "Standard".

26.   Click in the Quantity field.

27.   Enter the desired information into the Quantity field. Enter "200".

28.   Click in the Unit Price field.

29.   Enter the desired information into the Unit Price field. Enter "10".

30.   Click in the Amount field.

31.   Click the Save button.

32.   Click the Close button.

 

 

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Step Action

33.   Click the Complete button.

  or Press [Alt+C].

34.   Now create the second transaction.Click the New button.

35.   Click in the Ship To: Name field.

36.   Enter the desired information into the Ship To: Name field. Enter "AT&T Universal Card".

37.   Click in the Ship To: Number field.

38.   Click the Line Items button.

  or Press [Alt+n].

 

 

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Step Action

39.   Click in the Description field.

40.   Enter the desired information into the Description field. Enter "Standard".

41.   Click in the Quantity field.

42.   Enter the desired information into the Quantity field. Enter "30".

43.   Click in the Unit Price field.

44.   Enter the desired information into the Unit Price field. Enter "100".

45.   Click in the Amount field.

46.   Click the Save button.

47.   Click the close button.

 

 

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Step Action

48.   Click the Complete button.

  or Press [Alt+C].

49.   Click the Close button.

 

 

Step Action

50.   Click in the Status field.

51.   Now that you have added the transactions to this batch, you can close it.Enter the desired information into the Status field. Enter "Closed".

52.   Click the Save button.

53.   You have completed the Batching Transactions procedure.End of Procedure.

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Completing TransactionsAfter you enter all required information, you can change a transaction's status to Complete in the Transaction or the Transactions Summary page. When you complete an invoice, Receivables creates payment schedules based on the payment terms and invoice date you specified and includes the invoice in the standard aging and collection process if the transaction type has Open Receivables set to Yes.

In this topic, you will complete transactions.

Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions link.

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Step Action

4.   The Transactions page enables you to query and update your transactions. You can change a transaction's status to Complete using the Transactions page.

 

 

Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Point to the Query By Example menu.

7.   Click the Enter menu.

  or Press [E].

 

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Step Action

8.   Click in the Number field.

9.   Query the transaction to complete.Enter the desired information into the Number field. Enter "12095".

10.   Click the View menu.

  or Press [Alt+V].

11.   Point to the Query By Example menu.

12.   Click the Run menu.

  or Press [R].

 

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Step Action

13.   Click the Line Items button.

  or Press [Alt+n].

14.   You have to verify that all requirements for completing this type of transaction are met.

 

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Step Action

15.   Click the close button.

 

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Step Action

16.   Click the Complete button.

  or Press [Alt+C].

17.   When you complete a transaction, the button name changes from Complete to Incomplete. 

If you click the button again, Oracle Receivables changes the transaction status back to Incomplete.

18.   You have completed the Completing Transactions procedure.End of Procedure.

Voiding TransactionsOracle Receivables lets you make a debit memo, credit memo, on-account credit, invoice, or chargeback invalid by updating the transaction type. You can void a transaction only if the following are true:• The transaction does not have any activity against it.• The transaction has not been processed by the Revenue Recognition program.• The transaction has not been posted to your general ledger.

In this topic, you will void a transaction.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Transaction Types page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Transaction Types link.

5.   The Transaction Types page enables you to define new transaction types.

Now you will enter a void transaction type.

 

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Step Action

6.   Click in the Name field.

7.   Enter the desired information into the Name field. Enter "Void Invoice".

8.   Click in the Description field.

9.   Enter the desired information into the Description field. Enter "Void Invoice Type".

10.   Click the Class list.

 

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Step Action

11.   Click the Invoice list item.

 

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Step Action

12.   Click the Transaction Status list.

 

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Step Action

13.   Click the Void list item.

 

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Step Action

14.   Select a Creation Sign. The default is Positive Sign for transaction types with a class of Guarantee or Deposit.Click the Creation Sign list.

 

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Step Action

15.   Click the Positive Sign list item.

 

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Step Action

16.   Click the Printing Option list.

 

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Step Action

17.   Click the Print list item.

 

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Step Action

18.   Enter the payment Terms to use for transactions with this transaction type.Click in the Terms field.

19.   Enter the desired information into the Terms field. Enter "N30".

20.   If this transaction type's class is not Deposit or Guarantee, indicate whether you want transactions with this type to update your customer balances by selecting or clearing the Open Receivable checkbox.

Do not select the Open Receivable checkbox for a void transaction. You will need to clear the checkbox if it has been selected.Click the Open Receivable option.

21.   Select the Post To GL checkbox to be able to post transactions with this type to your general ledger.

Do not select the checkbox for a void transaction. You will need to clear the checkbox if it has been selected.Click the Post to GL option.

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Step Action

22.   You have now completed defining a void transaction type.Click the Save button.

23.   Click the close button.

 

 

Step Action

24.   Now query the transaction that you want to void. Click the Open button.

  or Press [Alt+O].

25.   Click the Transactions list item.

26.   Click the Open button.

  or Press [Alt+O].

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Step Action

27.   Click the View menu.

  or Press [Alt+V].

28.   Click the Query By Example menu.

29.   Click the Enter menu.

  or Press [E].

 

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Step Action

30.   Click in the Number field.

31.   Enter the desired information into the Number field. Enter "12105".

32.   Click the View menu.

  or Press [Alt+V].

33.   Point to the Query By Example menu.

34.   Click the Run menu.

  or Press [R].

 

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Step Action

35.   When you complete a transaction, the button name changes from Complete to Incomplete.

If you click the button again, Oracle Receivables changes the transaction status back to Incomplete. If the transaction has been posted to GL or now has an activity such as a receipt application, against it; in this case, you cannot change the status.Click the Incomplete button.

  or Press [Alt+m].

36.   Click in the Type field.

37.   Change the transaction Type to your 'void' transaction type.Enter the desired information into the Type field. Enter "Void Invoice".

38.   Click in the Payment Term field.

39.   Enter the payment Terms to use for transactions with this transaction type.Enter the desired information into the Payment Term field. Enter "N30".

40.   Click the Complete button.

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Step Action

  or Press [Alt+C].

41.   You can now check to see if the transaction has been voided by starting the AutoAccounting program. Oracle Receivables uses AutoAccounting to derive the default accounting.Click the Tools menu.

  or Press [Alt+T].

42.   Click the Create Accounting menu.

43.   A note confirms that the accounting cannot be created.Click the OK button.

  or Press [Alt+O].

44.   You have completed the Voiding Transactions procedure.End of Procedure.

Viewing TransactionsOracle Receivables lets you view detailed or summary information about your invoices, receipts, credit memos, debit memos, and commitments that have outstanding balances.

In this topic, you will view transactions.

Procedure

 

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Step Action

1.   Begin by navigating to the Find Account Details page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Account Details link.

4.   The Find Account Details page enables you to enter the selection criteria to view specific transactions.

 

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Step Action

5.   Click in the Operating Unit field.

6.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

7.   Click in the Bill To Customer: Name field.

8.   Enter the desired information into the Bill To Customer: Name field. Enter "AT&T Universal Card".

9.   Click the Find button.

  or Press [Alt+i].

10.   Use the Account Details page to view the status, due date, number of days late, dispute amount, and the balance due for a specific transaction.

 

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Step Action

11.   Click in the Operating Unit field.

12.   Oracle Receivables enables you to view complete information for a specific transaction using the Balances page.Click the Balances button.

  or Press [Alt+B].

13.   The Balances page displays the original transaction amount, total amount of receipts, credit memos, adjustments, and late charges applied to thistransaction and any discounts taken.

 

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Step Action

14.   Click the Close button.

 

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Step Action

15.   Click the Transaction Overview button.

  or Press [Alt+o].

16.   The Transaction Overview page enables you to view information for a specific transaction, such as customer bill-to and ship-toaddresses, payment terms, due date, status, and invoice lines.

 

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Step Action

17.   Click the Close button.

 

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Step Action

18.   Click the Details button.

  or Press [Alt+s].

19.   The Transactions page enables you to enter invoices, debit memos, credit memos, andcommitments. You can also query and update your transactions using this page.

 

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Step Action

20.   Click the Line Items button.

  or Press [Alt+n].

21.   The Lines page displays all the transaction lines for this transaction.

 

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Step Action

22.   Click the Close button.

 

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Step Action

23.   Click the Close button.

 

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Step Action

24.   Click the vertical scrollbar.

25.   Click in the Operating Unit field.

26.   Click the Details button.

  or Press [Alt+s].

27.   The Receipts page enables you to review the detailed information about a specific transaction.

 

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Step Action

28.   Click the Close button.

29.   You have completed the Viewing Transactions procedure.End of Procedure.

Placing an Item in DisputeIf your customer disagrees about the outstanding balance for an item, you can mark that item or a specific amount due as 'in dispute.' Amounts that are in dispute appear in collections reports.

In this topic, you will learn to place an item in dispute.

Procedure

 

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Step Action

1.   Begin by navigating to the Transactions Summary page.

Click the vertical scrollbar.

2.   Click the Purchasing, Vision Operations (USA) link.

3.   Click the Transactions Summary link.

4.   The Transactions Summary page enables you to enter, view, and maintain transactions.

 

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Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Click the Query By Example menu.

7.   Click the Enter menu.

  or Press [E].

 

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Step Action

8.   Click in the Number field.

9.   Enter the desired information into the Number field. Enter "12066".

10.   Click the View menu.

  or Press [Alt+V].

11.   Click the Query by Example menu.

12.   Click the Run menu.

  or Press [R].

 

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Step Action

13.   Click the Installments button.

  or Press [Alt+s].

14.   The Installments page enables you to place an item in dispute by entering a dispute amount and date.

 

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Step Action

15.   Click the horizontal scrollbar.

16.   Click in the Dispute Amount field.

17.   Enter the desired information into the Dispute Amount field. Enter "800".

18.   Click in the Dispute Date field.

19.   Enter the desired information into the Dispute Date field. Enter "04-DEC-2007".

20.   Click the Save button.

21.   You have completed the Placing an Item in Dispute procedure.End of Procedure.

Copying InvoicesThe Copy Transactions page enables you to automatically create invoices for goods or services that you regularly provide to your customers. When you copy invoices, Receivables does not derive the exchange rates and tax rates from the copied invoice date. Instead, it derives the exchange rate and tax rate from the date of your first copied invoice.

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In this topic, you will copy invoices.

Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions link.

4.   Use the Transactions page to enter your invoices, debit memos, credit memos, and commitments. You can also query and update your transactions using this page.

 

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Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Click the Query By Example menu.

7.   Click the Enter menu.

  or Press [E].

 

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Step Action

8.   Click in the Number field.

9.   Query the invoice to use as a model for your copied invoices. You must select a completed invoice.Enter the desired information into the Number field. Enter "12095".

10.   Click the View menu.

  or Press [Alt+V].

11.   Click the Query By Example menu.

12.   Click the Run menu.

  or Press [R].

 

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Step Action

13.   Click the Actions menu.

14.   Click the Copy To menu.

  or Press [y].

15.   The Copy Transactions page enables you to automatically create invoices for goods or services that you regularly provide to your customers.

 

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Step Action

16.   Click in the Number Of Times field.

17.   Enter the number of copies of invoices to create.Enter the desired information into the Number Of Times field. Enter "2".

18.   Click in the Number Of Days field.

19.   If your copy rule is Days, enter the number of days between your copied invoice dates.Enter the desired information into the Number Of Days field. Enter "5".

20.   Click in the Trans Date field.

21.   In the Trans Date field, enter the first transaction date to create the copied invoice.

22.   Click the Save button.

23.   Oracle Receivables submits a concurrent process to create your copied invoices and generates a unique request ID number. You can use this number toreview the status of your request in the Concurrent Requests Summary page.

24.   Click the Close button.

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Step Action

25.   Click the View menu.

  or Press [Alt+V].

26.   Click the Requests menu.

  or Press [R].

 

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Step Action

27.   Click the Specific Requests option.

28.   Click in the Request ID field.

29.   Enter the desired information into the Request ID field. Enter "5181728".

30.   Click the Find button.

  or Press [Alt+i].

 

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Step Action

31.   Click the View Output button.

  or Press [Alt+p].

32.   Review the request page to confirm that the invoice was copied.

33.   You have completed the Copying Invoices procedure.End of Procedure.

Entering Manual AdjustmentsUse the Adjustments page to create your adjustments. When you assign an activity to your adjustment, Receivables automatically uses the accounts assigned to that activity for the adjustment.

A transaction must have a status of Complete before you can adjust it.

In this topic, you will learn to enter manual adjustments.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions Summary page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions Summary link.

4.   The Transaction Summary page enables you to view, select, and adjust a transaction.

 

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Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Click the Query By Example menu.

7.   Click the Enter menu.

  or Press [E].

 

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Step Action

8.   Click in the Number field.

9.   Enter the desired information into the Number field. Enter "12068".

10.   Click the View menu.

  or Press [Alt+V].

11.   Click the Query By Example menu.

12.   Click the Run menu.

  or Press [R].

 

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Step Action

13.   Click the Adjust button.

  or Press [Alt+d].

14.   The Adjustments page enables you to create your adjustments.

 

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Step Action

15.   Click in the Activity Name field.

16.   Enter the desired information into the Activity Name field. Enter "Claim Adjustment".

17.   Click the Type list.

 

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Step Action

18.   Click the Line list item.

 

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Step Action

19.   Click in the Amount field.

20.   Enter the desired information into the Amount field. Enter "100".

21.   Click the Save button.

22.   You have completed the Entering Manual Adjustments procedure.End of Procedure.

Creating Automatic AdjustmentsRun AutoAdjustment to automatically adjust the remaining balances of all open invoices, debit memos, credit memos, and chargebacks. You can adjust specific transactions by entering selection criteria such as remaining amount, due date, transaction type, customer name, or customer number.

When you run AutoAdjustment, Receivables automatically creates your pending or approved adjustments based on your approval limits, and prints preview and audit reports for your AutoAdjustment processes.

In this topic, you will learn to create automatic adjustments.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Create AutoAdjustments page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Create AutoAdjustments link.

5.   The Create AutoAdjustment page enables you to automatically adjust the remaining balances of all open invoices, debit memos, credit memos, and chargebacks.

You can adjust specific transactions by entering selection criteria such as remaining amount, due date, transaction type, customer name, or customer number.

 

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Step Action

6.   Click in the Remaining Amount field.

7.   Enter the desired information into the Remaining Amount field. Enter "100".

8.   Click in the High Remaining Amount field.

9.   Enter the desired information into the High Remaining Amount field. Enter "200".

10.   Click in the Customer Name field.

11.   Enter the desired information into the Customer Name field. Enter "American Telephone & Telegraph".

12.   Click in the High Customer Name field.

13.   Click in the Activity field.

14.   Enter the desired information into the Activity field. Enter "Write-Off".

15.   Click in the Type field.

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Step Action

16.   Enter the desired information into the Type field. Enter "Invoice Adjustments".

17.   Click in the Reason field.

18.   Enter the desired information into the Reason field. Enter "Write Off".

19.   Click the Create Adjustments option.

20.   Click the Submit button.

  or Press [Alt+S].

21.   Click the OK button.

  or Press [Alt+O].

22.   Click the View menu.

  or Press [Alt+V].

23.   Click the Requests menu.

  or Press [R].

24.   The Find Requests page enables you to search for requests based on specific search criteria.

 

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Step Action

25.   Click the Specific Requests option.

26.   Click in the Request ID field.

27.   Enter the desired information into the Request ID field. Enter "5176371".

28.   Click the Find button.

  or Press [Alt+i].

29.   The Requests page enables you to view, modify, and maintain requests. You can also access the View Details, View Output, Diagnostics, and View Log pages.

 

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Step Action

30.   Click the View Output button.

  or Press [Alt+p].

31.   Review the AutoAdjustment Audit Report to review the automated adjustments you set up.

32.   You have completed the Creating Automatic Adjustments procedure.End of Procedure.

Approving AdjustmentsWhen you create an adjustment that is outside of your approval limits, Receivables creates a pending adjustment with a status of Pending Approval. Pending adjustments must be approved before Receivables will update the balance of the transaction.

You can approve a pending adjustment only if the adjustment amount is within your approval limits. When you approve an adjustment that is within your approval limits, Receivables automatically updates the balance of the transaction.

In this topic, you will approve adjustments.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Approve Adjustments page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Approve Adjustments link.

5.   The Find Adjustments page enables you to query the specific pending adjustment.

To limit your display to only certain adjustments, enter selection criteria.

 

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Step Action

6.   Click in the Operating Unit field.

7.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

8.   Click in the Adjustment Number field.

9.   Enter the desired information into the Adjustment Number field. Enter "3290".

10.   Click the Find button.

  or Press [Alt+i].

 

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Step Action

11.   Click in the Status field.

12.   To approve an adjustment, enter a status of Approved.Enter the desired information into the Status field. Enter "Approved".

13.   Click the Save button.

14.   You have completed the Approving Adjustments procedure.End of Procedure.

Viewing Autoadjustments ReportYou can run the AutoAdjustment Preview report prior to creating AutoAdjustments to preview the effect of your adjustments. Receivables generates this report when you choose the Generate Report Only option in the Create Autoadjustments page. Receivables automatically generates the AutoAdjustment Execution report when you choose the Create Adjustments option in the Create Autoadjustments page.

In this topic, you will view autoadjustments report.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Create AutoAdjustments page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Create AutoAdjustments link.

5.   The Generate Report Only option in the Create Autoadjustments page enables Oracle Receivables to generate the Autoadjustment Preview Report.

 

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Step Action

6.   Click in the Remaining Amount field.

7.   Enter the desired information into the Remaining Amount field. Enter "100".

8.   Click in the High Remaining Amount field.

9.   Enter the desired information into the High Remaining Amount field. Enter "1000".

10.   Click in the Customer Name field.

11.   Enter the desired information into the Customer Name field. Enter "American Telephone & Telegraph".

12.   Click in the High Customer Name field.

13.   Click in the Activity field.

14.   Enter the desired information into the Activity field. Enter "Write-Off".

15.   Click in the Type field.

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Step Action

16.   Enter the desired information into the Type field. Enter "Invoice Adjustments".

17.   Click in the Reason field.

18.   Enter the desired information into the Reason field. Enter "Write Off".

19.   Click the Submit button.

  or Press [Alt+S].

20.   Click the OK button.

  or Press [Alt+O].

21.   Click the View menu.

  or Press [Alt+V].

22.   Click the Requests menu.

  or Press [R].

 

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Step Action

23.   Click the Specific Requests option.

24.   Click in the Request ID field.

25.   Enter the desired information into the Request ID field. Enter "5176882".

26.   Click the Find button.

  or Press [Alt+i].

 

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Step Action

27.   Click the View Output button.

  or Press [Alt+p].

28.   This is an example of an AutoAdjustment Preview Report.

29.   You have completed the Viewing Autoadjustments Report procedure.End of Procedure.

Maintaining TransactionsYou can review and update invoice, debit memo, deposit, guarantee, credit memo, on-account credit memo, and chargeback information for transactions you enter manually or import into Receivables using AutoInvoice.

In this topic, you will learn to maintain transactions.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions link.

4.   The Transactions page enables you to enter, view, maintain a transaction.

 

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Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Click the Query By Example menu.

  or Press [Q].

7.   Click the Enter menu.

  or Press [E].

 

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Step Action

8.   Click in the Number field.

9.   Enter the desired information into the Number field. Enter "12075".

10.   Click the View menu.

  or Press [Alt+V].

11.   Click the Query By Example menu.

  or Press [Q].

12.   Click the Run menu.

  or Press [R].

 

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Step Action

13.   Click in the Ship To: Contact field.

14.   Enter the desired information into the Ship To: Contact field. Enter "Tiger, Scott".

15.   Click in the Payment Term field.

16.   Enter the desired information into the Payment Term field. Enter "N30".

17.   Click the Distributions button.

  or Press [Alt+s].

18.   The Distributions page enables you to enter the accounting rule for this invoice line, the specific amount of the invoice line to assign to this revenueaccount, and the GL Date that this account will post to your general ledger.

 

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Step Action

19.   Click in the GL Account field.

20.   Enter the desired information into the GL Account field. Enter "01-430-1210-0000-000".

21.   Click the Save button.

22.   You have completed the Maintaining Transactions procedure.End of Procedure.

Crediting Transaction LinesIn addition to crediting either part or the entire balance due of a transaction, Receivables lets you credit individual transaction lines. For example, if a transaction has several line items, you can partially or fully credit the amount due for each line or only a single line item.

In this topic, you will credit transaction lines.

Procedure

 

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Step Action

1.   Begin by navigating to the Transactions Summary page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the Transactions Summary link.

4.   Use the Transactions Summary page to query the transaction to credit.

 

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Step Action

5.   Click the View menu.

  or Press [Alt+V].

6.   Click the Enter menu.

  or Press [E].

 

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Step Action

7.   Click in the Number field.

8.   Enter the desired information into the Number field. Enter "12080".

9.   Click the View menu.

  or Press [Alt+V].

10.   Click the Run menu.

  or Press [R].

 

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Step Action

11.   Click the Credit button.

  or Press [Alt+r].

12.   Use the Credit Transactions page to enter, update, and review credit memos against specific invoices, debit memos, or commitments.

You create credit memos to reduce the balance due for a transaction. When you credit a transaction, Oracle Receivables creates the appropriate accounting entries and reverses any sales credit assigned to your salespeople.

 

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Step Action

13.   Click the Credit Allocation list.

 

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Step Action

14.   Select the transaction line to credit from the list of values.Click the Lines Only list item.

 

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Step Action

15.   Click in the Line field.

16.   Enter the desired information into the Line field. Enter "10".

17.   Enter either the Quantity and Unit Price or the Amount to credit for this line.Click in the Amount field.

18.   Click the Save button.

19.   Click the Complete button.

  or Press [Alt+C].

20.   You have completed the Crediting Transaction Lines procedure.End of Procedure.

Viewing Credit Transaction LinesReceivables lets you credit individual transaction lines. For example, if a transaction has several line items, you can partially or fully credit the amount due for each line or only a single line item.

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In this topic, you will view credit transaction lines.

Procedure

 

 

Step Action

1.   Begin by navigating to the Transactions Summary page.

Click the vertical scrollbar.

2.   Click the Transactions Summary link.

3.   The Transactions Summary page enables you to view the details of transactions, and review your transactions and chargebacks.

 

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Step Action

4.   Click in the Source field.

5.   Enter the desired information into the Source field. Enter "BR Automatic Numbering".

6.   Click in the Legal Entity Name field.

7.   Enter the desired information into the Legal Entity Name field. Enter "Vision Operations".

8.   Click in the Bill To Customer field.

9.   Enter the desired information into the Bill To Customer field. Enter "General Technologies".

10.   Click the Class list.

 

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Step Action

11.   Click the Credit Memo list item.

 

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Step Action

12.   Click the Open button.

  or Press [Alt+O].

13.   Click in the Date field.

14.   Enter the desired information into the Date field. Enter "31-Dec-2007".

15.   Click in the GL Date field.

16.   Enter the desired information into the GL Date field. Enter "31-Dec-2007".

17.   Click the Open button.

  or Press [Alt+O].

18.   The Transactions page enables you to view the details of the selected account, and enter your invoices, debit memos, credit memos, andcommitments.

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Step Action

19.   Click the Line Items button.

  or Press [Alt+n].

20.   The Lines page enables you to view a credit memo in which you have alreadycredited transaction lines.

 

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Step Action

21.   Click the Close button.

22.   You have completed the Viewing Credit Transaction Lines procedure.End of Procedure.

Executing the AutoInvoice ProgramRun the AutoInvoice Import or Master program to transfer transactions from other systems into Receivables. You can import invoices, credit memos, debit memos, and on-account credits using AutoInvoice. Receivables ensures that the data you import is accurate and valid.

In this topic, you will execute the AutoInvoice program.

Procedure

 

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Step Action

1.   Begin by navigating to the AutoInvoice page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Interfaces: AutoInvoice link.

5.   The Submit a New Request page enables you to run a single request or a request set.

 

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Step Action

6.   Click the OK button.

  or Press [Alt+O].

7.   The Run AutoInvoice page enables you to submit the AutoInvoice Master and Purge programs.

The Master program enables you to run several instances of AutoInvoice to improve system performance and import transactions more quickly. Run the AutoInvoice Purge program to delete the interface lines that were processed and successfully transferred into Oracle Receivables by the AutoInvoice Import program.

 

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Step Action

8.   Click in the Name field.

9.   Enter the desired information into the Name field. Enter "AutoInvoice Master Program".

10.   Click in the Parameters field.

11.   The Parameters page enables you to enter the required parameters to run the AutoInvoice request.

You can select a single operating unit from among the operating units to which you have access or All as the value for the Organization parameter, and enter a Transaction Source and Default Date for this submission.

12.   Click in the Organization field.

13.   Enter the desired information into the Organization field. Enter "Vision Operations".

14.   Click in the Invoice Source field.

15.   Enter the desired information into the Invoice Source field. Enter "Intercompany".

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Step Action

16.   Click in the Default Date field.

17.   Enter the desired information into the Default Date field. Enter "31-Dec-2007".

18.   Click the OK button.

  or Press [Alt+O].

19.   Click the Submit button.

  or Press [Alt+m].

20.   Click the No button.

  or Press [Alt+N].

21.   You have completed the Executing the AutoInvoice Program procedure.End of Procedure.

Generating AutoInvoice Program ReportsUse the AutoInvoice program report to review the results of your AutoInvoice request. This report lists summary information telling you how many revenue and credit transactions are selected, accepted, and rejected for each currency. The AutoInvoice program report also shows the total invoice amount for each transaction type for all transactions processed.

In this topic, you will generate AutoInvoice program reports.

Procedure

 

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Step Action

1.   Begin by navigating to the Submit a New Request page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Control: Requests: Run link.

5.   The Submit a New Request page enables you to run a single request or request sets.

 

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Step Action

6.   Click the OK button.

  or Press [Alt+O].

7.   The Submit Request page enables you enter specific criteria to submit a request.

 

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Step Action

8.   Click in the Name field.

9.   Enter the desired information into the Name field. Enter "Autoinvoice Master Program".

10.   Click in the Parameters field.

11.   The Parameters page enables you to enter the required parameters to run your request.

12.   Click in the Organization field.

13.   Enter the desired information into the Organization field. Enter "Vision Operations".

14.   Click in the Invoice Source field.

15.   Enter the desired information into the Invoice Source field. Enter "Intercompany".

16.   Click in the Default Date field.

17.   Enter the desired information into the Default Date field. Enter "31-Dec-2007".

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Step Action

18.   Click the OK button.

  or Press [Alt+O].

19.   Click the Submit button.

  or Press [Alt+m].

20.   Click the No button.

  or Press [Alt+N].

21.   You have completed the Generating AutoInvoice Program Reports procedure.End of Procedure.

Running the Balance Forward Bills ProgramUse the Bill Presentment Architecture (BPA) Balance Forward Print program to reprint draft or final balance forward bills.

You can also launch this program from an external system.

In this topic, you will submit the balance forward bills program.

Procedure

 

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Step Action

1.   Begin by navigating to the Submit a New Request page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Balance Forward Bills link.

5.   Use the Submit a New Request page to submit the Balance Forward Bills print program.

 

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Step Action

6.   Click the OK button.

  or Press [Alt+O].

7.   Use the Print Balance Forward Bills page to define the parameters for your Balance Forward Bills Program.

 

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Step Action

8.   Click in the Name field.

9.   Enter the desired information into the Name field. Enter "BPA Balance Forward Bill Print Program".

10.   Click in the Parameters field.

11.   Use the Parameters page to define the criteria to generate the balance forward bills.

12.   Select a specific operating unit for the Balance Forward Bill Print Program.Click in the Operating Unit field.

13.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

14.   Click in the Customer Number Low field.

15.   Enter the desired information into the Customer Number Low field. Enter "1004".

16.   Click in the Customer Number high field.

17.   The Customer Number Low and High values are required if the bill number or concurrent request ID is not specified.Enter the desired information into the Customer Number high field. Enter "1004".

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Step Action

18.   Click the OK button.

  or Press [Alt+O].

19.   Click the Submit button.

  or Press [Alt+m].

20.   Click the No button.

  or Press [Alt+N].

21.   You have completed the Running the Balance Forward Bills Program procedure.End of Procedure.

Viewing and Correcting AutoInvoice ExceptionsUse the Interface Exceptions page to view all records that failed AutoInvoice validation. Use the Interface Lines page to update these failed records.

Records that pass validation are transferred into Receivables tables. Records that fail validation are called exceptions; these records remain in the AutoInvoice interface tables. Before AutoInvoice can validate these records and create transactions in Receivables, you need to correct any invalid data, and then resubmit AutoInvoice.

In this topic, you will view and correct AutoInvoice Exceptions.

Procedure

 

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Step Action

1.   Begin by navigating to the Interface Exceptions page.

Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Interface Exceptions link.

5.   The Interface Exceptions page enables you to search and view the details of all the transactions that failed the AutoInvoice validation process. This page displays the interface ID, exception type, error message, and the invalid value associated with each error.

 

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Step Action

6.   Enter the operating unit for your query.Press [F11].

7.   Click in the Operating Unit field.

8.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

9.   Run the query.Press [Ctrl+F11].

10.   Click in the Interface ID field.

11.   Click the Details button.

  or Press [Alt+D].

12.   The Interface Lines page enables you to view:• The records of type Line or Charges that exist in the interface tables• Which records contain errors• General information about each record

You can edit data in this window as well as drill down to view more detailed information about each record.

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Step Action

13.   Click the Errors button.

  or Press [Alt+o].

14.   Click the Accounting button.

  or Press [Alt+A].

15.   Use the Line Errors page to review autoinvoice exceptions.

16.   You have completed the Viewing and Correcting AutoInvoice Exceptions procedure.End of Procedure.

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Printing Balance Forward BillsYou use balance forward billing to print a single bill that includes all of a customer's transactions for the billing period and any balance carried forward from the previous billing period. This lets you send one consolidated bill to a customer, instead of a separate invoice for each transaction.

A balance forward bill includes the following items:• A beginning balance or the balance carried over from the last billing period.• An itemized list of current charges and activities (such as invoices, credit memos, debit memos, adjustments) in either summary or detail format.• Payment received for the last billing period.• Current total outstanding balance.

In this topic, you will use the Bill Presentment Architecture (BPA) Balance Forward Print Program to print the bills using the Print Balance Forward Bills page.

Procedure

 

 

Step Action

1.   Begin by navigating to the Submit a New Request page.Click the vertical scrollbar.

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Step Action

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Balance Forward Bills link.

5.   Use the Submit a New Request page to access the Print Balance Forward Bills page from where you will print balance forward bills.

 

 

Step Action

6.   Click the OK button.

  or Press [Alt+O].

7.   Use the Print Balance Forward Bills page to define the parameters for your report.

 

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Step Action

8.   In the Name field in the Print Balance Forward Bills page, you will select and run the Bill Presentment Architecture (BPA) Balance Forward Print Program.Click in the Name field.

9.   Enter the desired information into the Name field. Enter "BPA Balance Forward Bill Print Program".

10.   Click in the Parameters field.

11.   In the Parameters page, you will enter the Operating Unit and other details to print balance forward bills for a specific operating unit.

12.   Click in the Operating Unit field.

13.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

14.   The Customer Number Low and Customer Number High fields are required if a bill number or concurrent Request IDis not specified.

You must enter values in these fields to reprint one or more account-level balance forward bills. The list of values includes all balance forward billing customers.

15.   Click in the Customer Number Low field.

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Step Action

16.   Enter the desired information into the Customer Number Low field. Enter "1004".

17.   Click in the Customer Number high field.

18.   Enter the desired information into the Customer Number high field. Enter "1004".

19.   Click the OK button.

  or Press [Alt+O].

20.   Click the Submit button.

  or Press [Alt+m].

21.   The request ID for the request you submitted will display in the Decision page.

22.   Click the No button.

  or Press [Alt+N].

23.   You have completed the Bill Presentment Architecture (BPA) Balance Forward Print Program procedure. End of Procedure.

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Revenue ManagementRevenue Management includes information on revenue recognition, revenue accounting, and the management of event based revenue.

Upon completion of this lesson, you will be able to:• Run revenue recognition.• Use revenue accounting.• Manage event based revenue.

Running Revenue RecognitionRevenue Recognition manages revenue processing. The Revenue Recognition program will automatically run as a part of the General Ledger transfer process. You can also run the Revenue Recognition program manually at any time.

The program generates the revenue distribution records for invoices and credit memos that use invoicing and accounting rules. Accounting rules determine the number of periods and percentage of total revenue to record in each accounting period. Invoicing rules determine when to recognize the receivable for invoices that span more than one accounting period.

Distributions are created in the Receivables subledger and will pass to General Ledger during the appropriate accounting period. This is an essential process in accrual-based accounting.

In this topic, you will run the Revenue Recognition program using the Submit Request page.

Procedure

 

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Step Action

1.   Begin by navigating to the Submit a New Request page.Click the vertical scrollbar.

2.   Click the vertical scrollbar.

3.   Click the Receivables, Vision Operations (USA) link.

4.   Click the vertical scrollbar.

5.   Click the Control: Requests: Run link.

6.   Use the Submit a New Request page to access the Submit Request page, from where you will run the Revenue Recognition program.

 

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Step Action

7.   Click the OK button.

  or Press [Alt+O].

8.   You will use the Submit Request page to run the Revenue Recognition program.

 

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Step Action

9.   Click in the Name field.

10.   Enter the desired information into the Name field. Enter "Revenue Recognition".

11.   Click in the Operating Unit field.

12.   Enter the desired information into the Operating Unit field. Enter "Vision Operations".

13.   Click the Submit button.

14.   Click the No button.

  or Press [Alt+N].

15.   You have completed running the Revenue Recognition program using the Submit Request page.End of Procedure.

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Using Revenue AccountingUse the Revenue Accounting feature to quickly and easily adjust revenue and sales credits at the transaction or line level. You can make manual adjustments using the Revenue Accounting and Sales Credits page.

Revenue Accounting uses the Revenue Accounting Management (RAM) wizard to guide you through the process of making and modifying revenue adjustments. You can also use the wizard to update expiration dates of existing revenue contingencies.

In this topic, you will manage revenue accounting using the Revenue Accounting and Sales Credits page.

Procedure

 

 

Step Action

1.   Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

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Step Action

3.   Click the vertical scrollbar.

4.   Click the Revenue Accounting link.

5.   Use the Find Transactions for Revenue Accounting page to enter the range of the transaction numbers for transactions assigned to bills receivable in the Transaction Numbers field.

 

 

Step Action

6.   Click in the Transaction Numbers field.

7.   Enter the desired information into the Transaction Numbers field. Enter "10000".

8.   Click in the High Transaction Numbers field.

9.   Click the OK button.

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Step Action

  or Press [Alt+O].

10.   Click the Find button.

  or Press [Alt+i].

11.   Use the Transaction tab in the Revenue Accounting and Sales Credits page to make adjustments in the revenue contingencies by clicking the Manage Revenue button.

You can use the following criteria to optionally limit the lines that are affected by an adjustment or early acceptance:• Inventory item• Inventory category• Line number• Salesperson (limits the impacted lines for adjustments only)

 

 

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Step Action

12.   Click the Manage Revenue button.

13.   Manage Revenue Step 1 page enables you to schedule or unschedule revenue or modify, depending on how you want to manage the revenue.

 

 

Step Action

14.   Click the Unschedule Revenue option.

15.   Click the Next button.

  or Press [Alt+N].

16.   The criteria Salespersons limits the impacted lines for adjustments only.

In Manage Revenue Step 2 page, select All in the Name field.

17.   Click in the Salespersons: Name field.

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Step Action

18.   Enter the desired information into the Salespersons: Name field. Enter "All".

19.   Click the Next button.

  or Press [Alt+N].

20.   In Manage Revenue Step 3 page, select the line you want to adjust.

21.   Click the Line Number (J) option.

22.   Click in the Line Number field.

23.   Enter the desired information into the Line Number field. Enter "1".

24.   Click the Next button.

  or Press [Alt+N].

25.   The details of the transaction line displays in the Manage Revenue Step 4 page.

 

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Step Action

26.   Click the Finish button.

  or Press [Alt+i].

 

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Step Action

27.   Click the Yes button.

  or Press [Alt+Y].

28.   You have completed managing revenue accounting using the Revenue Accounting and Sales Credits page.End of Procedure.

Unscheduing RevenueUse the Revenue Accounting Management (RAM) wizard to manually adjust revenue on an invoice or invoice line that is under collectibility analysis.

When you move revenue on an invoice or invoice line from an unearned to earned revenue account, or vice versa, Oracle Receivables removes the invoice or invoice line from further collectibility analysis. The invoice is no longer subject to automatic revenue recognition.

In this topic, you will submit the unschedule revenue accounting for sales credit.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Revenue Accounting page.Click the vertical scrollbar.

2.   Click the Receivables, Vision Operations (USA) link.

3.   Click the vertical scrollbar.

4.   Click the Revenue Accounting link.

5.   Use the Find Transactions page to search for the transactions for which you want to manage the revenue accounting information.

 

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Step Action

6.   Click in the Transaction Numbers field.

7.   Enter the desired information into the Transaction Numbers field. Enter "10000".

8.   Click in the High Transaction Numbers field.

9.   Click the OK button.

  or Press [Alt+O].

10.   Click the Find button.

  or Press [Alt+i].

 

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Step Action

11.   Click the Manage Revenue button.

12.   Use the Manage Revenue page to modify revenue contingencies, unschedule revenue, schedule revenue, and record acceptance.

 

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Step Action

13.   Click the Unschedule Revenue option.

14.   Click the Next button.

  or Press [Alt+N].

15.   Select a name of the salesperson to restrict a revenue adjustment to the portion of revenue that is credited to that particular salesperson.Click in the Salespersons: Name field.

16.   Enter the desired information into the Salespersons: Name field. Enter "All".

17.   Click the Next button.

  or Press [Alt+N].

18.   Select a specific item, item category, or line number to limit the lines that are adjusted.Click the Line Number (J) option.

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Step Action

19.   Click in the Line Number field.

20.   Enter the desired information into the Line Number field. Enter "1".

21.   Click the Next button.

  or Press [Alt+N].

 

 

Step Action

22.   Click the Finish button.

  or Press [Alt+i].

 

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Step Action

23.   Click the Yes button.

  or Press [Alt+Y].

24.   You have submitted the unschedule revenue accounting for a sales credit.End of Procedure.

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Accounting for ReceivablesAccounting for Receivables includes information on journal entries, viewing reports, inquiries, and account periods.

Upon completion of this lesson, you will be able to:• Open and close accounting periods.• Use subledger accounting inquiries.• View subledger accounting reports.• View accounting lines and receivables.

Opening and Closing Accounting PeriodsYou have to Open and close accounting periods in your calendar to control the recording of accounting information for these periods. Receivables lets you open future accounting periods while your current period is still open. Receivables also lets you reopen previously closed accounting periods and enter receivables activities without transferring transactions to the general ledger when you set your accounting periods to Future.

In this topic, you will open and close accounting periods.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Open/Close Accounting Periods page.Click the vertical scrollbar.

2.   Click the Open/Close Periods link.

3.   Use the Opening and Closing Accounting Periods page to open or close accounting periods.

An accounting period can have an Open or Close status. In an Open accounting period, journal entry and posting are allowed. In a Closed period, journal entry, posting, and transaction entry are not allowed unless the accounting period is reopened.

Oracle Receivables verifies that there are no unposted items in this period. Oracle Receivables does not enable you to close a period that contains unposted items.

 

 

Step Action

4.   Click in the Status field.

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Step Action

5.   The Status field enables you to select the Open/Close option for Accounting Periods option.Enter the desired information into the Status field. Enter "Open".

6.   Click the Save button.

7.   You have completed the Opening and Closing Accounting Periods procedure.End of Procedure.

Using Subledger Accounting Inquiries: Accounting EventsAn accounting event is a business event in Oracle Receivables that has accounting impact. Not all business events have accounting impact; you can modify the accounting setup to create accounting for some events and not for others. You can query accounting events based on multiple selection criteria.

In this topic, you will use subledger accounting inquiries for accounting events.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Accounting Events page.Click the vertical scrollbar.

2.   Click the Accounting Events link.

3.   The Accounting Events page enables you to execute a search for specific accounting events and view them.

 

 

Step Action

4.   Click in the From Transaction Date field.

5.   Enter the desired information into the From Transaction Date field. Enter "01-Jan-2005".

6.   Click in the To Transaction Date field.

7.   Enter the desired information into the To Transaction Date field. Enter "31-Jan-2005".

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Step Action

8.   Click the Go button.

9.   Click the Show link.

10.   Click the View Journal Entries button.

11.   The Journal Entry page enables you to view subledger journal header information for the selected accounting event.

 

 

Step Action

12.   Click the View T-Account button.

13.   The T-Account page enables you to view journal entry information in a T-account format.

14.   You have completed Using Subledger Accounting Inquiries: Accounting Events procedure.End of Procedure.

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Using Subledger Accounting Inquiries: Journal EntriesA manual subledger journal entry is not associated with a subledger transaction. When the manual subledger journal entry is complete, Subledger Accounting assigns the appropriate sequence names, sequence numbers, and creates the reporting currency journal entries if appropriate.

In this topic, you will use subledger accounting inquiries using journal entries.

Procedure

 

 

Step Action

1.   Begin by navigating to the Subledger Journal Entries page.Click the vertical scrollbar.

2.   Click the Journal Entries link.

3.   The Subledger Journal Entries page enables you to execute a search and view subledger journal entry headers in the results region.

 

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Step Action

4.   Click in the Ledger field.

5.   Enter the desired information into the Ledger field. Enter "Vision Operations (USA)".

6.   Click in the From GL Date field.

7.   Enter the desired information into the From GL Date field. Enter "01-Jan-2005".

8.   Click in the To GL Date field.

9.   Enter the desired information into the To GL Date field. Enter "31-Jan-2005".

10.   Click the Go button.

11.   View detailed header and line information by selecting the ledger link.Click the Vision Operations (USA) link.

 

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Step Action

12.   Click the Show link.

13.   You have completed the Using Subledger Accounting Inquiries: Journal Entries procedure.End of Procedure.

Using Subledger Accounting Inquiries: Journal Entry LinesYou can view subledger journal entry lines for a number of different documents or transactions by selecting the Subledger Journal Entry Lines menu option in the subledger accounting responsibility.

In this topic, you will use subledger accounting inquiries for journal entry lines.

Procedure

 

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Step Action

1.   Begin by navigating to the Subledger Journal Entry Lines page.Click the vertical scrollbar.

2.   Click the Journal Entry Lines link.

3.   The Subledger Journal Entry Lines page enables you to execute a search and view subledger journal entry lines in the results region.

 

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Step Action

4.   Click in the Ledger field.

5.   Enter the desired information into the Ledger field. Enter "Vision Operations (USA)".

6.   Click in the Natural Account Segment field.

7.   Enter the desired information into the Natural Account Segment field. Enter "4120".

8.   Click in the GL Date field.

9.   Enter the desired information into the GL Date field. Enter "01-Jan-2005".

10.   Click the Go button.

11.   Click the View Journal Entry button.

12.   By clicking the View Journal Entry button, you can view subledger journal entry lines and header information for a selected journal entry line.

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Step Action

13.   You have completed Using Subledger Accounting Entries: Journal Entry Lines procedure.End of Procedure.

Viewing Subledger Accounting ReportsOracle Subledger Accounting provides accounting reports for fiscal and internal control purposes. Create your own layouts and publish your reports using Oracle XML Publisher.

Subledger Accounting provides the following reports:Journal Entries Report, Account Analysis Report, Third Party Balances Report, Multiperiod Accounting Reports, and Period Close Exceptions Report.

In this topic, you will view subledger accounting reports.

Procedure

 

 

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Step Action

1.   Begin by navigating to the Print Accounting Reports page.Click the vertical scrollbar.

2.   Click the Reports: Accounting link.

 

 

Step Action

3.   Click the OK button.

  or Press [Alt+O].

4.   Use the Print Accounting Reports page to define the accounting report parameters.

 

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Step Action

5.   You have to select the accounting report that you want to run to review accounting information.Click the Name button.

6.   Click the Name list item.

7.   Click the OK button.

  or Press [Alt+O].

8.   The Parameters page displays the parameters for the AR: Journal Entries Report.

9.   Click the OK button.

  or Press [Alt+O].

10.   Click the Submit button.

  or Press [Alt+m].

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Step Action

11.   Click the No button.

  or Press [Alt+N].

 

 

Step Action

12.   Click the View menu.

  or Press [Alt+V].

13.   Click the Requests menu.

  or Press [R].

 

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Step Action

14.   Click the Find button.

  or Press [Alt+i].

 

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Step Action

15.   Click in the Request ID field.

16.   You have completed the Viewing Subledger Accounting Reports procedure.End of Procedure.

Viewing Accounting Lines in ReceivablesWhen you query a invoice, payment, or adjustment in Oracle Receivables, you can choose to view the detail accounting lines for the queried transaction in the form of a balanced accounting entry (i.e., debits equal credits). You can also choose to view the detail accounting as t-accounts.

In this topic, you will view accounting lines in receivables.

Procedure

 

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Step Action

1.   Begin by navigating to the Transactions page.Click the Transactions: Transactions link.

2.   The Transactions page enables you to query the invoice, payment, or adjustment for which you want to view accounting lines.

 

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Step Action

3.   [F11] enables you to query the accounting lines.Press [F11].

 

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Step Action

4.   Click in the Reference field.

5.   Enter the desired information into the Reference field. Enter "15921".

6.   Click in the Date field.

7.   Enter the desired information into the Date field. Enter "01-Nov-2005".

8.   [Ctrl+F11] displays the details of the queried transaction.Press [Ctrl+F11].

 

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Step Action

9.   Click the Tools menu.

  or Press [Alt+T].

10.   Click the View Accounting menu.

  or Press [A].

 

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Step Action

11.   Click the View Journal Entry button.

 

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Step Action

12.   Click the Show link.

13.   Click the Show Additional Information button.

14.   You have completed the Viewing Accounting Lines in Receivables procedure.End of Procedure.

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Funds Capture Process Home PageFunds Capture Process Home Page includes information on searching for and viewing settlement batches, authorization information, settlement information, and credit information. Also, creating settlement batches, submitting offline transactions, and voiding payments.

Upon completion of this lesson, you will be able to:• Search for and view settlement batch information.• Search for and view authorization information.• Search for and view settlement information.• Search for and view credit information.• Create settlement batches.• Submit offline transactions.

Searching and Viewing Settlement Batch InformationYou can view complete details of a settlement batch you have created in the Settlement Batch Details page. You can search for a settlement batch and then access the settlement batch details.

In this topic, you will search for and view settlement batch information using the Funds Capture Process Home page.

Procedure

 

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Step Action

1.   Begin by navigating to the Funds Capture Process Home page.Click the Funds Capture Process Manager link.

2.   Click the Home link.

3.   You will use the Funds Capture Process Home page to:• Monitor funds capture operations, such as individual transactions and settlement batches.• Respond to transactions or settlement batches that fail with temporary circumstantial system errors.• Initiate settlement batch creation and retrieve settlement batch clearing or acknowledgement.• Navigate to subsidiary pages to research operations using the tab structure.

You can also use this page to search and view settlement batch information.

4.   You can use the Search region in the Funds Capture Process Home page to quickly search for an operation.

You can select the operation type from the drop-down list and enter that operation's payment system order number (or settlement batch reference, if searching for a settlement batch) in the field to the left of the Go button.

 

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Step Action

5.   Click the Submit Settlement Batches list.

6.   Click the Card Transactions list item.

7.   Click the Submit button.

8.   Click the Monitor Requests link to view the results in the Requests page.Click the Monitor Requests link.

9.   The Requests page will display the settlement batches. Click the Details button corresponding to the settlement batch that you want to view.

10.   You have completed the Searching and Viewing Settlement Batch Information procedure.End of Procedure.

Searching and Viewing Authorization InformationYou can view credit card authorizations, credit card authorization and settlements, debit card authorizations, whether or not settlement is done as part of the authorization, and bank account validations.

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You can search for an authorization and then drill down to the details page. The Authorization Details page can also be reached through links on the Funds Capture Process Home page.

In this topic, you will search for and view authorizations using the Authorization page.

Procedure

 

 

Step Action

1.   Navigate to the Funds Capture Process Home page.Click the Funds Capture Process Manager link.

2.   Click the Home link.

3.   In the Funds Capture Process Home page, select the Authorizations tab.

 

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Step Action

4.   Click the Authorizations tab.

5.   In the Authorizations page, you can conduct a search using the Simple Search or the Advanced Search options.

6.   Enter information using any of criteria in the Simple Search region, such as the From Request Date and Status fields to run a query.

 

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Step Action

7.   Click in the From Request Date field.

8.   Enter the desired information into the From Request Date field. Enter "22-Jan-2008".

9.   Click the Status list.

10.   Click the Succeeded list item.

11.   Click the Go button.

12.   When you click the Go button, the search results display.

You can click the links displayed under the Payment System Order Number to drill down to the details.

13.   You have completed the Searching and Viewing Authorization Information procedure.End of Procedure.

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Searching and Viewing Settlement InformationYou can view complete information about a settlement using the Settlements page. You can view the details of credit card settlements, debit card settlements, and bank account transfers. You can access the Settlements page from the Funds Capture Process Home page.

In this topic, you will search and view settlement information using the Funds Capture Process Home page.

Procedure

 

 

Step Action

1.   Begin by navigating to the Funds Capture Process Home page.Click the Funds Capture Process Manager link.

2.   Click the Home link.

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Step Action

3.   You will use the Funds Capture Process Home page to:• Monitor funds capture operations, such as individual transactions and settlement batches.• Respond to transactions or settlement batches that fail with temporary circumstantial system errors.• Initiate settlement batch creation and retrieve settlement batch clearing or acknowledgement.• Navigate to subsidiary pages to research operations using the tab structure.

You can also use this page to access the Settlements page to search and view settlement information.

 

 

Step Action

4.   Click the Settlements tab.

5.   In the Settlements page, you can do a simple search for settlements and access the details.

You can search for settlements by entering values in any of the fields in the Simple Search region.

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Step Action

6.   Click the Status list.

7.   Click the Succeeded list item.

8.   Click the Go button.

9.   You can access the details of each settlement by clicking the specific Payment Order Number link.

The Settlements page displays the settlement information.

10.   You have completed the Searching and Viewing Settlement Information procedure.End of Procedure.

Searching and Viewing Credit InformationThe Payment Administrator can view complete information about one or more credits. This includes both credit card refunds, which are reversals of earlier settlements, stand-alone credits, and bank account transfer credits. The Credit pages are comprised of the Credit Search page and a

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Credit Details page. The Payment Administrator can search for a credit and then drill down to the details page.

In this topic, you will search and view credit information.

Procedure

 

 

Step Action

1.   Begin by navigating to the Oracle Payments Setup page.Click the Funds Capture Setup Admin link.

2.   Use the Oracle Payments Setup page to navigate to the Payees page for the Funds Capture Setup task.

 

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Step Action

3.   Click the Go To Task - Payees button.

4.   The Payees page enables you to conduct a search for all the listed payees.

Additionally, you can create new payees in this page.

 

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Step Action

5.   Click the Go button.

6.   Click the Update button.

 

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Step Action

7.   Click the Risk Formulas button.

8.   Click the vertical scrollbar.

9.   Click the Update button.

10.   You have completed the Searching and Viewing Credit Information procedure.End of Procedure.

Creating Settlement BatchesYou can use the Create Settlement Batches concurrent program to settle batches and submit them to the appropriate payment systems.

This concurrent program finds pending authorization, settlement, and credit transactions intended for processor-model payment systems. It then groups these transactions into settlement batches and submits them to the payment system using the appropriate transmission and security configurations.

In this topic, you will create a settlement batch using the Funds Capture Process Home page.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Funds Capture Process Home page.Click the Funds Capture Process Manager link.

2.   Click the Home link.

3.   Use the Funds Capture Process Home page to create a settlement batch by selecting an option in the Create and Submit Settlement Batches region.

 

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Step Action

4.   Click the Submit Settlement Batches list.

5.   Click the Bank Account Transactions list item.

6.   Click the Submit button.

7.   When you click the Submit button, you will be assigned the concurrent request ID.

8.   You have completed the Creating Settlement Batches procedure.End of Procedure.

Submitting Offline TransactionsThe Submit Offline Transactions concurrent program is used to submit offline non-batch transactions to the intended gateway payment system. Offline transactions are typically batched for processor model payment systems, but not for gateways.

In this topic, you will submit offline transactions.

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Procedure

 

 

Step Action

1.   Begin by navigating to the Funds Capture Process Home page. Click the Funds Capture Process Manager link.

2.   Click the Home link.

3.   The Funds Capture Process Home page enables you to run the submit Funds Capture Concurrent Program to submit offline transactions.

 

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Step Action

4.   Click the Submit Offline Operations link.

 

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Step Action

5.   Click in the Request Name field.

6.   Use the Schedule Request page to enter the name of the request you want to run.

7.   Enter the desired information into the Request Name field. Enter "Submit Offline Trxn".

8.   Click the Next button.

 

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Step Action

9.   Enter the name of the instrument for which you want to submit offline transaction.Enter the desired information into the Instrument Type field. Enter "Credit Card".

10.   Click the Next button.

11.   The Schedule region displays the entire schedule to run the relevant request.

You can modify the default schedule here.

 

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Step Action

12.   Click the Next button.

 

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Step Action

13.   Click the Next button.

14.   In the Printing step, you will select how you want to view the output information.

 

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Step Action

15.   Click the Next button.

 

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Step Action

16.   Click the Submit button.

17.   You have completed the Submitting Offline Transactions procedure.End of Procedure.

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