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General Ledger & Intercompany
Discussion List
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Restrict users to select a specific Chart of Account Segment value in Invoice DistributionSummary Restrict users to select a specific Chart of Account Segment value in AP Invoice distributionContent Hi, We have a requirement with the client where their AP is … -
How to set default accounting period in Account Monitor?Summary How to set default accounting period in Account Monitor?Content Currently, when we use the Account Monitor under the General Accounting Dashboard, when switching… -
Relationship between user data access and Primary, Secondary ledgersSummary Assignment of data access by ledger setContent In Fusion, we have multiple primary and reporting ledgers. They are assigned to one two ledgers; one containg all … -
Fusion Financials: Balancing Currency ThresholdSummary Thousands of entries generated when threshold is set low (eg. 1%)Content Does anyone have experience with setting the balancing currency threshold on the prinamy… -
Recurring Journals - Spreadsheet UploadSummary:We would like to create recurring journals that might span rest of year. We can do this using the spreadsheet upload (multiple journals tab) using a journal cate… -
Can receiver change account combinations of intercompany transaction sent to approvalSummary: Hello, When an intercompany transaction is created by provider, the receiver should approve it. However in this case, can receiver change the account combinatio… -
Is it possible to change General Ledger Calender after setting?Summary: General Ledger Calendar was already set but now we would like to change the number of Adjusting Period from 3 to 1. Content (please ensure you mask any confiden… -
How to populate the Intercompany Transaction Description generated through Intercompany AllocationsSummary: The Intercompany Batches are generated through the GL Intercompany Allocations. Need to automatically populate the Description field in the Transaction Header/T… -
Parent COA Values showing in Manage Account CombinationsSummary Parent COA Values showing in Manage Account Combinations.Content I have COA values with summary_flag = Y and allow budgeting/posting = N. Now creating the Accoun… -
GL Code combination soap connenctionOrganization Name (Required - If you are an Oracle Partner, please provide the organization you are logging the idea on behalf of): Description (Required): https://serve… -
Creating a new Legal Entity - correct steps?Summary: Hi All, We had some new codes created in our chart of account segment for entitiy but the actual creation of new legal entities relating to them wasn't done the… -
Inconsistent Currency Conversion Rate Date in secondary and reporting ledgersInconsistent Currency Conversion Rate Date between Subledger Transactions and Manual Journals when posting to Secondary / Reporting Ledgers In the secondary or reporting… -
Shorthand aliases orderingSummary: Shorthand aliases ordering Content (please ensure you mask any confidential information): We created several account aliases using an alphanumeric prefix, such … -
How to Change the Ledger while posting to GL for the different SubLedger transaction?We have subledger transactions from the payroll module that are being transferred to the GL. As per the payroll definitions, there are ongoing transactions flowing under… -
GL set ups for intercompanySummary: We have a requirement of creating a Legal Entity (say A) with a procurement BU and it will be serviced by requisitioning and receiving BU tied to an existing LE… -
Is it possible to auto-populate one segment based on another segment.Hi, I want to check whether one segment value can be automatically populated based on the value selected in another segment. For example, if a user selects a value in Se… -
Cannot Make Activity Code DFF Not Required to Post JournalWe have an Activity Code DFF in the GL_JE_LINES flexfield that is currently Required. However, when a payables journal was created, an account was disabled, so no Activi… -
DML Operations like (Update,Delete) not working on ATPDB database table which is hugeSummary: DML Operations like (Update, Delete) not working on ATPDB database table which is huge. Archive table that is present where i want to do the operation and clear… -
Oracle GL: Can we use HR Organization to route Journal ApprovalSummary: Oracle GL: Can we use HR Organization to route Journal Approval, Over Journal Approval template we have Option to use HR Organization to route approval so Need … -
how to set FYI notification for journal approval to usersIs there any guide on how to set FYI notification for journal approval to users -
Can the first approver claim journal back even it got escalated to succeeding manger in supervisoryLets say A created journal and submitted for Approval to A's manager "B" based on Supervisory hierarchy having 2 levels of escalation so now B has not approved within ti… -
I configured the ledger agent But getting operational issues like fields are not getting validated.I configured the ledger agent and all the configurations are completed, But getting operational issues. Please see below But whenever I'm making a query, I'm getting thi… -
How to set default journal category when create manual journal in general ledgerHow to set default category when create manual journal in general ledger -
While selecting Level XX values in FDI or OTBI it is populating cumulating values of preceding valueWhen we select Level 29 value in OTBI /FDI it shows 29 th level values and If we select Level 28 values it cumulates and shows previous values namely level 29 values als… -
User not able to able to see Ledger Set in SmartViewSummary: We have created a Parent Ledger Set which contains Primary Ledger Child Ledger Set When we use SmartView to view Trial Balance for the Parent ledger set and dri… -
New Enhancement Request Regarding IFRS 18Summary: Hi Team, According to the IFRS 18, these are the required changes need to be done. 1.As per IFRS 18, the statement of profit or loss (P&L) must be structured by… -
Accounting Processing 26B Feature 'Optimized Maintenance for Account Balances'Summary: Hi All, There is a new feature which is introduced in 26B 'Optimized Maintenance for Account Balances'. Can you please help to share more insights on this featu… -
Journal Approvals Rules via spreadsheet not working for Journal sources except ManualHi, I created a Journal Approval rule as follows: Approval group 1 for journal with amount below 500,000 and Approval group 2 for amount above 500,000, Journal source fo… -
Requirement is that the payables source is need on the Journal while it is posted in GLSummary: Content (please ensure you mask any confidential information): Version (include the version you are using, if applicable): Code Snippet (add any code snippets t… -
Need to set up Approvals for Allocation JournalsSummary: Content (please ensure you mask any confidential information): Version (include the version you are using, if applicable): Code Snippet (add any code snippets t…