Awe Setup In Peoplesoft

Awe Setup In Peoplesoft

Oracle Applications  fav. Setsvlfcpt,  apps. ANDfrg. requestgroupidfrt. ANDfrgu. requestgroupidfrg. ANDfcpt. requestsetidfrgu. ANDfcpt. applicationidfav. ANDfcpt. userrequestsetname. LIKEXXRJYon. have entered a journal and your supervisor is asking for the current account. How will you get this information B. Run the Journals 1. Char Report. C. View the Projected Balances Region on the Create Journal page. D. View the Account Inquiry window. Explanation. Use the projected balances feature to view the impact on account balances for. Explanation Oracle Fusion Accounting Hub is integrated with Oracle Hyperion Data Relationship Management, Fusion Edition, which is a master data management solution. With the recent release of Peopletools, peoplesoft has moved from the traditional workflow to the AWEApproval Workflow Engine. This has greatly segregated the. The. projected balances flow has the following business benefits Creation. Validation. and reconciliation of posted journal entries by providing immediate and. Reference. Fusion Applications Help, Viewing Projected Balances Points to Consider. In. Oracle Fusion Applications, a calendar can only have . A. Oneperiod frequency and period type. B. Multiple period frequencies. Using Workflow and Managing Approvals. This chapter provides overviews of the approval workflow engine, approval workflow, and approval workflow tasks and discusses. Go To Training and Useful Links. Find links for User Access Agreement, FERPA and Elevated Privilege Training. Quick reference guides and Role descriptions. Setting Up and Working with SelfService Transactions. Selfservice transactions serve as extensions of a core PeopleSoft application. They enable workers to update. Awe Setup In Peoplesoft' title='Awe Setup In Peoplesoft' />D. Multiple period frequencies and period types. Explanation. In Oracle Fusion applications a calendar can only have one period frequency and. Therefore, if you have an existing calendar with more than one period. Oracle E Business Suite. Reference. Fusion Applications Help, Defining Accounting Calendars Critical Choice. Transactions. may involve multiple currencies that require a common currency to make the. What are the amounts Oracle Business Analytics Warehouse. A. Global Currency two common currencies, Document Currency,Local Currency. B. Currency Code, Currency Name. C. Currency Symbol, Currency Name. Explanation. Currency lookups are required because your business may have transactions. To create a meaningful report, you have to use a. The Oracle Business Analytics Warehouse provides a means for. Oracle Business Analytics. Warehouse Document. The currency of the transaction. For example, if you purchase a chair. Mexico, the document currency is probably the Mexican peso. The currency in which the financial books, including the transaction. For example, if your business organization is located in France and. Britain, it may pay in British pounds, but it. French francs. In this case the local currency for the. French francs and the document currency for the transaction is. British pounds. The local currency is useful when each business unit of the. For example, your Japanese site. Japanese yen, while your United States site. United States dollars. Out of the box, Oracle BI Applications provides three global. For example, if a multinational enterprise has its headquarters in the United. States, its group currency is probably U. S. dollars. The global currency is. For example, a user might want to. Reference. Oracle Business Intelligence Applications Installation and Configuration Guide. Configuring. Common Components of the Oracle Business Analytics Warehouse About. Document, Local, and Global Currencies. What. is the primary source of data that is used for the Financial Reporting Center A. B. transaction tables. C. defined dimensions for journals. D. the Code Combinations table. Explanation. Administrators need to create database connections from Workspace so users can. Workspace or Financial Reporting Studio. Reference. Oracle Fusion Applications Financials Implementation Guide 1. Setting up Your. Financial. Reporting Center Critical Choices. The. Receivables and Payables accounts that are automatically generated by. A. Primary Balancing Segment Rules Ledger Entity Level Rules Ledger Level. Rules Chart of Account Rules. B. Ledger entity Level Rules ledger Level Rules Chart of Account Rules Primary. Balancing Segment Rules. C. Chart of Account Rules Primary Balancing Segment Rules Ledger Entity Level. Rules Ledger Level Rules. D. Ledger Level Rules Primary Balancing Segment Rules Ledger Entity Level Rules. Chart of Accounts Rules. E. Chart of Account Rules Ledger Entity Level Rules, Primary Balancing Segment. Rules Ledger Level Rules. Explanation. Defining Intercompany Balancing Rules. You. can define intercompany balancing rules at the following rule levels 1. Primary. balancing segment. The. rules are evaluated in the order shown above. Reference. Oracle Fusion Accounting Hub Implementation Guide, Intercompany Balancing. Action Framework appear in. Oracle Business intelligence Enterprise Edition A. In the Oracle BI EE Global Header section. B. In the Analysis, Dashboards, Agents, KPIs, and scorecard objectives sections. C. In the. MY Favorite region. Reference. OBIEE 1. R1 Action Framework and Conditions. Select. the key performance indicator KPI that provides a trend of the cost of an. Gross Margin Analysis Overhead Costs Expensed or Capitalized. On. inbound transactions and inventory transfer transactions, overhead expenses can. On outbound transactions, overhead. For. example, consider a receipt of inventory items that cost 1. When the item is sold, you would like to absorb additional. The total cost of goods sold. Fusion. Costing analytics include support for Gross Margin Analysis, Item Cost Trend. Item Value trend, embedded in the Fusion Cost Accountants dashboard. Reference. Oracle Fusion Applications Cost Accounting and Receipt Accounting. Implementation Guide 1. Overhead Costs Expensed or Capitalized. Choose. the four steps required to create and use the chart of accounts. B. Create Chart of Accounts Structure. C. Create Chart of Accounts Structure Instance. D. Create Value Set Values. E. Create Account Hierarchies. F. Publish Account Hierarchies. Explanation. To set up your chart of accounts 1. A Define value sets. Value sets determine. B Define your account structure. Indicate how many separate segments your account will have, and for each. Define rollup groups to create. You assign parent. Define your account segment values. If you plan on defining summary accounts or reporting hierarchies, you must. You. can set up hierarchy structures for your segment values. Define parent values. You can view a segment values hierarchy structure as well as move the. Use. the segment values windowto define values that belong to independent or. Define Security Rules to restrict. Define cross validation rules to. General Ledger to allow. For example. you may decide that your sales cost centers, 6. Define or enable descriptive. Define account shorthand aliases to. If you enable shorthand alias flexfield. Define summary accounts to create. Create account combinations. Reference. Defining Your Chart of Accounts. Which. view do you use to set parameters and define the data that is displayed in the. Smart. View report. Explanation. Smart Slices are stored centrally and are available to users from the Smart. Excel workbook, a Word document, or a. Power. Point presentation. One report is associated with an Excel worksheet, a. Word page, or a Power. Point slide. For Power. Point presentations, Oracle. You. can create reports from entire Smart Slices or from subsets of data in a Smart. Slice. Reports can then be displayed on an Excel spreadsheet, Word document, or. Power. Point slide. Magenta Dictionary Crack. You can display as many reports from as many data sources as. Reference. Oracle Hyperion Smart View for Office, Users Guide. Fusion. Accounting Hub includes Hyperion Data Management, which can be used. A. Chart of Accounts Hierarchy maintenance. B. the maintenance of Trading Community Data. C. Chart of Accounts Master Data maintenance. D. data access and security. Explanation. Oracle Fusion Accounting Hub is integrated with Oracle Hyperion Data. Relationship Management, Fusion Edition, which is a master data management. This. integration allows you to maintain your charts of accounts values and. Oracle Fusion and E Business Suite General Ledgers. With licensing and. Data Relationship Management, you can              Update and change Data. Relationship Management versions and hierarchies. The results of these changes. Oracle Fusion and E Business Suite. General Ledgers, E Business Suite parent child hierarchies, and Oracle Fusion.

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Awe Setup In Peoplesoft
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