R12.x Oracle Receivables Management Fundamentals

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Call for Classroom Training Dates4 $4,840Register


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Call for Live Virtual Class Dates4 $4,640Register


R12.x Oracle Receivables Management Fundamentals

Description: In this course, you'll learn how to set up and use Oracle Receivables to manage receivables processing. Gain the skills required to manage parties and customer accounts, process invoices using Auto-Invoice, enter and complete invoices & more.

Duration: 4 Days

Audience:

  • End Users
  • Functional Implementer

Learn To:

  • Understand the Order to Cash Lifecycle.
  • Understand the Oracle Receivables Process.
  • Manage Parties and Customer Accounts.
  • Process Invoices Using Auto-Invoice.
  • Explain Bill Presentment Architecture Processes.
  • Set up Credit Management.

Prerequisites:

  • R12.x Oracle E-Business Suite Essentials for Implementers

Suggested Prerequisites:

  • Thorough knowledge of the overall Oracle Receivables Process
  • Ability to navigate Oracle applications

Course Objectives:

  • Understand the overall order to cash process from Order Entry through Bank Reconciliation
  • Understand key areas in the Order to Cash Life Cycle
  • Explain how the Receivables processing is positioned within the Order to Cash Life Cycle
  • Describe the overall Receivables process
  • Manage parties and customer accounts
  • Describe the Auto-Invoice process
  • Explain bill presentment architecture processes
  • Understand Credit Management
  • Identify credit management processing
  • Understand setup information related to invoicing
  • Describing the receipt process
  • Understand setup information related to receipts
  • Understand the tax accounting process
  • Understand Sub-ledger Accounting as it relates to period closing

Topics:

Order to Cash Lifecycle Overview

  • Describing the overall Order to Cash Process from Order Entry through Bank Reconciliation
  • Discussing the key areas in the Order to Cash Life Cycle
  • Describing the integration between the applications

Overview of Oracle Receivables Process

  • Explaining where the Receivables processing is positioned within the Order to Cash Life Cycle
  • Describing the overall Receivables Process
  • Discussing the key areas in the Receivables Process

Manage Parties and Customer Accounts

  • Defining the Features to Enter and Maintain Party and Customer Account Information
  • Defining the Features to Enter and Maintain Party and Customer Account Information
  • Creating Profile Classes and Assigning them to Customer Accounts
  • Creating and Maintaining Party and Customer Account Information
  • Enabling Customer Account Relationships
  • Defining TCA Party Paying Relationships
  • Merging Parties and Customer Accounts
  • Viewing Party and Customer Account Information

Process Invoices Using Auto-Invoice

  • Describing the Auto-Invoice Process
  • Using Auto-Invoice
  • Correcting Errors Using Auto-Invoice Exception Handling

Process Invoices

  • Describing How Processing Invoices Fits into the Receivables Process
  • Entering and Completing Invoices
  • Correcting Invoices
  • Printing Transactions and Statements
  • Using Event-Based Management
  • Demonstrating Promised Commitment Accounts

Bill Presentment Architecture

  • Explaining the Bill Presentment Architecture Processes
  • Registering Data Sources
  • Creating Templates to Present Bills
  • Defining Rules to Assign Templates to Customers
  • Printing BPA Invoices

Credit Management

  • Understanding Setup Steps for Credit Management
  • Demonstrating Credit Profile Changes
  • Identifying Credit Management Processing
  • Using Workflow and Lookups
  • Reviewing Credit Management Performance
  • Applying Credit Hierarchy

Implement Customer Invoicing

  • Entering Setup Information related to Invoicing
  • Understanding Key Implementation Considerations in Customer Invoicing

Receipts

  • Describing the Receipt Process
  • Applying Receipts Using Different Methods
  • Creating Charge-backs, Adjustments, and Claims
  • Using Balancing Segments
  • Applying Non-Manual Receipts

Implement Receipts

  • Entering Setup Information for Receipts
  • Discussing the Implementation Considerations

Tax Processing

  • Understanding the Tax Accounting Process
  • Understanding Oracle E-Business Tax Setups for Receivables
  • Managing Tax Accounts and Tax Adjustments

Period Closing

  • Understanding Sub-ledger Accounting Related to Period Closing
  • Defining Various Actions Required to Close a Period in the Order to Cash E-Business Flow
  • Describing Available Reports Assisting in the Closing Process
  • Explaining How to Run the Revenue Recognition Program and the General Ledger Interface Program

Appendix A: Bank Reconciliation

  • Reconciliation Overview
  • Reconciliation Integration
  • Reconciliation: Oracle Receivables and Oracle Payables
  • Reconciliation of Oracle Payroll EFT Payments
  • AutoReconciliation Overview
  • Clearing and Reconciling Transactions in Oracle Payables
  • Clearing and Reconciling Transactions in Oracle Receivables
  • Cash Application Work Queue

 

Course DateLocationDaysPriceRegister
Call for Classroom Training Dates4 $4,840Register


Course DateLocationDaysPriceRegister
Call for Live Virtual Class Dates4 $4,640Register