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Get Started with Redwood: Oracle Cloud SCM and Supply Chain Financial Orchestration / Costing
Costing
Discussion List
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Costing is required for expense itemsSummary: Hello, We have implemented Inventory for supporting Procurement and don’t have any items or any transactions. Only expense item are received i.e. Direct deliver…
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Update the cost after moving the SKU from one subinventory to another?Summary: In Landed Cost Management, is it possible to change or update the cost after moving the SKU from one subinventory to another? An inventory item was received and…
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Need SQL query to fetch the details of Item Number detailsSummary: We need a SQL query to fetch the Item Number, Inventory item id, Unit cost, Total cost, Sub inventory code, organization name & Quantity of Items. Kindly let us…
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Can we restrict invoices to be created for Transfer orders (NO SALES ORDER) between Business unitsSummary: Can we restrict invoices to be created for Transfer orders (Customer does not need SALES ORDER) between Business units Content (please ensure you mask any confi…
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CMR_PO_ACCRUAL_AMTS_RPT dependency issue while trying to customize Uninvoiced receipt accrual reportHi Experts, We need to add some invoice line level project based columns (project name, task name, project expenditure organization) in Uninvoiced receipt accruals repor…
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Summarize Cost Transactions for Serial Controlled ItemsSummary: 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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what is the joining of Journal to Inventory Tables in FusionSummary: i've journal related detail where i wanted to add inventory items as well with the Jouranls , so i'm unable to to find out any way to join these tables . Conten…
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How the"Recoginized cost of goods sold percentage"calculated on the Analyze Product Gross Margins UISummary: How the "Recoginized cost of goods sold percentage" got calculated on the Analyze Product Gross Margins UI Content (please ensure you mask any confidential info…
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Condition in account rule based on Project No-Oracle CloudSummary: We need to add condition in Receipt Accounting Rule where we need to add condition "if Project no of PR is not equals to Project no of PO"(line level) For this …
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Cost Rollup Scope, limit for selecting itemHi, While creating a scenario, there is rollup scope as a "selected item". What is the limit for items to get selected. Like how many items we can choose at a time? Rega…
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scrap in Standard costingSummary: Need to know how scrap is accounted in case of Standard costing Content (please ensure you mask any confidential information): Is there a way to include scrap c…
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Requirement from customer for PPV to be recorded but then be absorbed to Inventory valuationSummary: Customer is operating in Standard cost method and wants to see the PPV from purchases be knocked off by booking it to inventory in Oracle fusion cost accounting…
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Inter org transfer without using SFOSummary: a. We have Inv Org-1 belonging to LE-1 nd PCBU-1 We have Inv Org-2 belonging to LE-2 and PCBU-2. Both the inv orgs belongs to same Management BU. b. We don't ne…
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Parameter description for ESS job "Validate and update cost accounting periods" unclear in 23C notesI have opted in the new feature released in 23C for cost accounting period close "Validate and update cost accounting periods". As part of this, when running the ESS job…
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Is Sales Channel Information from Sales Orders available for SLA COGS rulesSummary: We have a business requirement to use Sales Channel information from sales orders header as input for SLA rule to generate COGS account. We want to define a map…
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The latest issue transaction is not getting costed by cost distributionsSummary: As per the below note, we performed all the transactions. Everything worked fine for the old stuck transaction. But the newly created Misc Issue transaction to …
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Using prior period cost for internal material transfers does not fit the company's requirementsSummary: Using prior period cost for internal material transfers does not fit the company's requirements Our company uses the PAC method, and we need to use the current …
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Why the Purchase order receipt and acquisition cost adjustment events are combined togetherHi, There are two scenarios. 1.PO where Purchase Order Receipt and Acquisition cost Adjustment entries are getting created separately with different source PO and AP res…
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Need privilege which shows BU's in the Lov's of Match Receipt Accrual JobSummary: Need privilege which shows BU's in the Lov's of Match Receipt Accrual Job. We can not give Cost Accountant role to the user. We need exact privilege so that we …
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How to add percentage condition for Accrual RulesSummary: I need to define a condition where - Clear the accruals if Invoice amount is less than 85% of receipt accruals. Condition defined and not working - AccrualLine.…
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How to cost the Work Order which is completed partially in Process Manufacturing in the Actual Cost?Summary: How to cost the Work Order which is completed partially in Process Manufacturing in the Actual Cost. We have scenario as below: Work Order created for 100 qty. …
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Need a Script to find out which items are causing cost rollup errorSummary: Need a Script to find out which items are causing cost rollup error Content (please ensure you mask any confidential information): There are over 800 components…
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How are companies managing annual cost updates?Summary: Using Standard Costing in 24A How are companies managing Scenarios to do a year end cost update for items, resources, and overheads? Is there a way to see all s…
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Best practice to handle the Receiving Inspection accountSummary: The Receiving Inspection Account does not always net to zero, and it has remaining balances based on the different event types. I would like to understand what …
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our client is moving from EBS to cloud. Need column mapping from ESB to Cloud for mentioned columnSummary: Our Client is moving from EBS to Cloud. As part of migration, we have identified and mapped all the required columns to cloud tables except the below one "LEVEL…
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START_DATE column value is always 1st day of the month on Costing tablesSummary: We noticed that the START_DATE column value in the CST_VU_ONHAND_VALUATIONS and CST_ATTR_ONHAND_VALUATIONS tables is always the 1st of the month. May we confirm…
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Project DFF sources are not working in deriving SLA for Miscellaneous transactionSummary: Miscellaneous receipt for the project, attempting to derive SLA from project DFF but sources are not working. Below are the attributes used. Project attribute 2…
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Moved: what is the joining of Gl to Fixed AssetThis discussion has been moved.
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What is the formula for calculating Exchange Variance adjustment generated from Receipt Accounting?Summary: A journal entry has been generated for a PO for the Event Type and Event Class 'Invoice Price Adjustment'. The event generated a journal entry line for Receivin…
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Expense account in cost receiving accounting for non recoverable taxSummary: Content (required): when non-recoverable taxes are applied to the purchase requisition and the purchase order is processed, then the service is received and the…