Category 332
Discussion List
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GL Daily Auditing Trail Policies Enabled - Not WorkingSummary: GL Daily Auditing Trail Policies Enabled - Not Working Content (required): We have enabled GL Daily Auditing Trail Policies and created GL Daily rates for From/… -
how to track the transactions from Non receivable begin balance amount in the reconciliation reportSummary Determine the transactions from Non receivable begin balanceContent There is an amount showing in the non receivable begin balance line in the receivables to led…User_72KLH 128 views 2 comments 1 point Most recent by Vijayreddy Billakurthi Receivables & Collections -
How to trigger BPM budgetary control workflow for only amount changes?Summary: How to trigger BPM budgetary control workflow for only amount changes? Content (required): Users do multiple updates on the control budget and only some of them… -
Supplier Rebate Accounting based on item categorySummary: Regarding the accounting entries generated for supplier rebates, is that possible to configure the SLA to derive different natural accounts based on characteris…Thiago Ugarte 61 views 3 comments 0 points Most recent by Bijeesh Kunjan-Oracle Channel Revenue Management -
New Audit Policy in 23A: Application SettingsSummary: There is a new Audit Policy in 23A called Application Settings. We didn't see anything in the Read Me related to this. Content (required): Looking for the RMC p…Jeff Hare CPA CISA CIA 111 views 4 comments 2 points Most recent by Roop Kumar-Oracle Risk Management and Compliance -
How to track audit history on Transaction Tables like Invoices, PaymentsSummary: We have observed a few instances where in some invoices, payment records in base tables is showing up last updated by value as certain individuals who are not s… -
Void Payments Reconciliation In Fusion Cash Management?Summary: How to reconcile the Void Payments In Fusion Cash Management? Content (required): Oracle Cloud Cash Management 23B Version (include the version you are using, i…S Akhtar 111 views 1 comment 0 points Most recent by Swapnil Nagvekar-Oracle Payables, Payments & Cash Management -
How to handle the function of AR deposit invoice in Cloud?Summary: Currently in EBS 12.1.3, we are using deposit invoice, but in Cloud, this invoice type does not exist, which function can be used to take that process? Thank yo… -
a way to close all Periods of GL and Subledgers along with Budget Period in one shoot.Summary: Content (required): Is there a way to close all Periods of GL and Subledgers along with Budget Period in one shoot (Through Single Process as an example)? Versi…Mahmoud9308 61 views 3 comments 0 points Most recent by Andreea Brem-Oracle General Ledger & Intercompany -
User Name Generation rules - Special character issuesContent Hi, we chose as the "User Name Generation Rule" the option "FirstName.LastName". The username is automatically generated once HR hires the employee in HCM. We ar…Claudio Civati 117 views 9 comments 4 points Most recent by Kishore Padala-Support-Oracle Applications Security -
How to create separate different fields for different types of expenses in Oracle fusion?Summary: In Expense Module - After selection of template , the types are to be selected. How can we add different feilds for different type of Expenses? Content (require… -
Unable to update account use for a bank account after savedSummary: I am trying to update account use for a bank account but it is not updatable. Most of the other fields on bank account are updatable but account use is not. Can…Prathmesh Gharia 71 views 2 comments 0 points Most recent by Prathmesh Gharia Payables, Payments & Cash Management -
Is it possible to save a partially completed bank statement reconciliation?Summary: If a bank statement line has not been completely reconciled, we would like to be able to save the partially completed reconciliation to return to it later. Cont…Adrian Townsend 42 views 1 comment 0 points Most recent by MariusS-Oracle Payables, Payments & Cash Management