Skip to main content

Mass Additions – Steps

Creating Asset from Purchasing à Transferring the Invoice to AP à Adding Asset in FA à Transferring Journal Entries to GL
Navigation: Inventory à Item à Item Master
  • Create an asset type of item
  • Assign Asset Clearing account in the expense account field lying in Purchasing tab.
  • Assign the asset item to the organization
  • Go to Org attributes to assign asset clearing account in the expense account field lying in purchasing tab.
Navigation: Purchasing Super User à Purchase Order (Note you have to be assigned as Buyer)
  • Create Purchase Order (Notice that asset clearing account appearing in the distribution area in Purchase Order created).
Navigation: Oracle Payables à Invoice à Enter à Invoice
  • Create AP Invoice on the same supplier to match with the purchase order created.
    • Again notice that Asset Clearing account automatically appearing in invoice distribution form.
    • Notice that automatically system check “Track as an Asset” button when the account is Asset Clearing.
  • From Concurrent Requests àTransfer AP invoice to General Ledger after the validation and accounting is done. In R12, “FINAL POST” option can be availed to generate accounting and transfer to General Ledger at one shot.
  • Check the entries are transferred properly without any error.
  • Run “Mass Additions Create” to create mass additions in FA module directly from AP.
  • Run “Mass Additions Create Report” to check if the entries/source lines are transferred from AP to FA.
Navigation: Oracle Assets à Mass Additions à Prepare
  • Open “Prepare Mass Additions” form from FA module to see the invoice lines from AP.
  • Assign details to the mass additions such as Category, Employee, Location and expense account.
  • After saving the previous screen, query back the same asset to see that asset addition is “On HOLD”.
  • Change the queue from “On Hold” to “Post” and save.
  • From Concurrent request à Run “Post Mass Additions” program and “Mass Additions Posting Report” program.
    • Give Asset book as Parameter.
  • Check if the asset is added properly with various options such as Open, Source Lines, Books, Assignments, Financial Inquiry etc.,
  • Run Depreciation (This will automatically transfer Journal Entries for Asset Addition and Depreciation for the Period.
Navigation: Oracle General Ledger à Enter à Query the Journal Entry with “Unposted” status.
  • Switch to General Ledger Responsibility to:
    • Check the transferred accounting entries from AP and FA
    • Check Entries that are transferred from FA module
    • Reconcile the entries
    • Post the UNPOSTED entries
    • Reconcile AP TB with GL TB

Comments

Popular posts from this blog

Oracle Subledger Accounting (SLA) Tables, Views

Oracle Subledger Accounting (SLA) Tables, Views Oracle Subledger Accounting Tables: TABLE NAME DESCRIPTION XLA_AAD_GROUPS The XLA_AAD_GROUPS table stores the merge dependencies analyzed during the merge analysis.  All application accounting definitions with the same GROUP_NUM must be merged together. XLA_AAD_HDR_ACCT_ATTRS The XLA_AAD_HDR_ACCT_ATTRS stores standard, system and custom sources assigned to an accounting attribute at the AAD level. XLA_AAD_HEADER_AC_ASSGNS Store the analytical criteria for the application accounting definitions. XLA_AAD_LINE_DEFN_ASSGNS This table stores the journal lines definitions for the application accounting definitions. XLA_AAD_LOADER_DEFNS_T The XLA_AAD_LOADER_DEFNS_T table is the interface table that facilitates the data transfer from data files and the database. XLA_AAD_LOADER_LOGS The XLA_AAD_LOADER_LOGS table stores the errors and logs generated by the application accounting definitions loader. XLA_AAD_SOURCES XLA_AAD_SOURCES table stores a...

Oracle Fusion Cloud: Supplier Import Process using File Based Data Import (FBDI)

 Supplier Data Migration or Upload to Oracle Fusion environment File-Based Data Import for Oracle Procurement Cloud Supplier import in oracle fusion   In this post , We will discuss about Supplier import in oracle fusion. Oracle has provided the FBDI tool to import suppliers from External  Source  to the Oracle fusion. Supplier Import in Oracle fusion we first need to  Download  the Supplier Import FDBI  templates  given by the Oracle fusion to import suppliers. Oracle has given 5 Different FBDI templates to Import supplier in Fusion. Here in this post , I will share the Complete steps for Supplier import in oracle fusion. You can refer this post for Supplier Import.   Steps for Supplier import in oracle fusion     Step1- First we need to download Supplier Data  Template  from Oracle Repository. Go to this path for Oracle Repository. ( select Based on your Cloud version) https://docs.oracle.com/en/...

Number to Word conversion in RTF

<?xdofx: expression ?> for extended SQL functions <?xdoxslt: expression ?> for extended XSL functions. You cannot mix xdofx statements with XSL expressions in the same context This function enables the conversion of numbers to words for RTF template output. This is a common requirement for check printing. The new function is “to_check_number”. The syntax of this function is <?xdofx:to_check_number(amount, precisionOrCurrency, caseType, decimalStyle)?> The following table describes the function attributes:   Attribute Description Valid Value amount The number to be transformed. Any number precisionOrCurrency For this attribute you can specify either the precision, which is the number of digits after the decimal point; or the currency code, which will govern the number of digits after the decimal point. The currency code does not generate a currency symbol in the output. An integer, such as 2; or a currency code, such as ‘USD’. caseType The case type of th...