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Payables, Payments & Cash Management
Discussion List
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Why does SOAP "External Cash Transaction" allow sending an inactive value in the currency field?An external transaction has been sent through SOAP https://servername/fscmService/ExternalTransactionServiceService?WSDL The currency field sent was MXP. The value of th…
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Moved: Sweep cash management transactions accounting dateThis discussion has been moved.
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AP Invoice is automatically suppressedHello, I would like to inquire about abnormal behavior that I have encountered in the AP invoice approval process. We have 3 stages: first, the manager of the submitter;…
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Unable to accounts the PaymentsSummary: We have encountered the below issues while running the create accounting for Payables. Business is at close of the financial year; below are the details of the …
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Transferring check file and positive pay file to third partyClient has a request to transfer check file and positive pay file to third party. 1. We tested the process type – Electronic, we can send the checks to third party, but …
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Question regarding Payable Invoice Register ReportHi, How to split the page based on the invoice number in the .rtf template, prefer not to adjust the coding? And how to make all the line within the invoice number displ…
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How to correct amount invoice after import with spreadsheet in AP?Hi, Is there a way to correct the format of amounts on invoices imported with the spreadsheet? Thansk, Regards
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Moved: AP invoice is validated and partially accounted status not able to post to ledgerThis discussion has been moved.
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Moved: How can we define SLA rule for Tax line to pick accounting from Item LineThis discussion has been moved.
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custom invoice hold release using rest apiSummary: how to release a custom hold without entering manual release details? It should be system release once the condition is meet. we cannot keep manual release opti…
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How Deep Links work for an AP InvoiceSummary: How Deep Links work for an AP Invoice Content (please ensure you mask any confidential information): How Deep Links work for an AP Invoice Version (include the …
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Payment Request FBDISummary Payment Request FBDIContent We are working with a client that that issues payment requests to customers through AP. In the current process, they are creating a s…
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How do we reconcile accounting with P card req/PO and PO closed after receivingSummary: How do we reconcile accounting with P card requisition and PO and PO closed after receiving. We have a requirement to buy inventory items with P card and receiv…
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Import AP Invoice Lines with Asset Serial NumberSummary: Map Asset Serial Number on Invoice Lines during creation using REST API Content (please ensure you mask any confidential information): We are currently using th…
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Upload Bank AccountsHi Is there a way to upload bank accounts? I know there is rapid spreadsheet to upload bank account information, however, I noticed that the rapid spreadsheet upload fil…
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Amount Mismatch between Payables Trial Balance & Account Analysis ReportSummary Amount Mismatch between Payables Trial Balance & Account Analysis ReportContent Hi, We have a discrepancy between the Payables Trial Balance & the Account Analys…
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https://community.oracle.com/customerconnect/categories/erp-payables-payments-cash-managementSummary: Hi, can I please have some advice on the best way to retrieve a supplier's paymentMethod via API? I have tried several calls including series' of calls using th…
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Associating the reconciliation history table with system transactionsIn the CE_RECON_HISTORY_ITEMS table stores the bank statements reconcile record. The field RECON_SOURCE shows where the matching item comes from. And I believe field SOU…
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Unable to find Legal entity infomration at document sequce category tablesSummary: Hi Team, Any one have sql query on same requirment in your experiance. I used below tables. FND_DOCUMENT_SEQUENCES FND_DOC_SEQUENCE_ASSIGNMENTS FND_DOC_SEQUENCE…
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Invoice not appearing in payment formSummary: Hi Team, There is one USD ledger whose base currency is USD. User has already paid offline via bank account from SGD currency bank account. Now when user is try…
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Do any diagnostic tests return sensitive data such as bank account informationWhen reviewing the diagnostic tests available under the troubleshooting section of Oracle, I can see that there are 3 tests related to banking: Bank Account Diagnostic D…
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Moved: How to create mass addition for CIP assets?This discussion has been moved.
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Bank Account changes AuditSummary Bank Account Number and Bank Branch changes need to be auditedContent Hi, We have enabled the external and internal bank account auditing last year and we would …
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Does the audit report allow you to know if changes were made to the invoices?Summary: We want to know if changes were made to the payment conditions at the time of creating the invoices or if they were adopted from the purchase orders. Can the au…
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Calling Initiate Payment Process Request ESS Job through an APISummary: We have a requirement to call "Initiate Payment Process Request" ESS job through an API. Below is the payload used. Though the job status is "Succeeded" but it …
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Moved: subledger entries not getting into the secondary ledgerThis discussion has been moved.
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How to use REST APIs for supplier payment attributes, having mutiple payee idsSummary: Content (please ensure you mask any confidential information): Version (include the version you are using, if applicable): Code Snippet (add any code snippets t…
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Bank statement line reconciled without a system transactionSummary: Content (required): Hi Experts, It was observed that after running an auto reconciliation, the bank statement line is reconciled but the respective system trans…
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Moved: "Tax Exemption Certification Number" cannot be shown for withholding taxThis discussion has been moved.
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User wants to see only the Invoice infotilesSummary: User needs to check or see the invoice infotiles. We found a document Payables Invoice Inquiry (Read-Only custom role) (Doc ID 2360565.1) but it is showing only…