Bank Statements and Reconciliation
Discussion List
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value date accounting for bank statement transactions in oracle cash management.Hello everyone, I would like my transactions reconciled with the bank reconciliations to be accounted to the cash value date and not the booking date. The configuration …FROD 177 views 5 comments 1 point Most recent by JegadishK-Oracle Payables, Payments & Cash Management -
Reconciliation of GL journals (Cash Account) with Cash ManagementSummary: Can clearing account reconciliation be enabled for cash accounts just to use 'Reconciliation Reference' field in journals for the purpose of cash management rec…Akila Suresh 190 views 5 comments 0 points Most recent by Philippe Kunstmann Payables, Payments & Cash Management -
Enabling US Bank Virtual Payments from Oracle cloudHi Team, We have a new project that we need to enable the US Bank Virtual Payments from Oracle Cloud. This is an end-to-end process, like creating an invoice, making pay…Raju Thadakala_1234 74 views 6 comments 1 point Most recent by Jon Kelly Payables, Payments & Cash Management -
Is it possible to change a transaction code when importing a CAMT053.001.02 bank statement?We are importing bank statements from JPMC using the JPM ISO20022 MX CAMT053.001.02 Format. JPM uses a transaction code of 175 for cash deposits. The issue is that code …DMW_HILLSCOUNTY 1 view 0 comments 0 points Started by DMW_HILLSCOUNTY Payables, Payments & Cash Management -
GL Journal lines migrating via FAH Integration is not reflecting in Cash to GL reconciliation reportHi Everyone, When we are creating any journal line in GL those transaction are reflected in cash management dashboard source as Journal for reconciliation. The transacti…User_NGFDG 1 view 2 comments 0 points Most recent by User_DGENW Payables, Payments & Cash Management -
Non English Bank StatementSummary: Do Oracle Fusion, supports Bank Statements in Non English Content (please ensure you mask any confidential information): Do Oracle Fusion, supports Bank Stateme…RajibPramanik 11 views 3 comments 0 points Most recent by User_DGENW Payables, Payments & Cash Management -
How to upload external PGP Private decryption key in Oracle Fusion for Bank Statement importSummary: We're on 25B currently and planning to establish Host to Host connectivity with Bank to import bank statement files in CAMT.053 format. We're trying to use PGP …Shiv.Singhal 195 views 1 comment 0 points Most recent by Aelia Bonnie Payables, Payments & Cash Management -
How to Configure Bank Statement Reconciliation Reference on Reconciled Page and Journal Line PageSummary: 1) After reconciling statement line with GL journal, there is no reference on Manual Reconciliation>Reconciled Page. Is it possible to have the reference to sho…Abby Chen522 81 views 5 comments 2 points Most recent by MD ALAM Payables, Payments & Cash Management -
Need two Auto Journals for Bank InterestSummary: We want to explore whether the current Cash Management (CM) module setup can be modified to create two automatic journals for bank interest instead of just one.…PrasadKota 1 view 2 comments 0 points Most recent by PrasadKota Payables, Payments & Cash Management -
Customize MT940 formatSummary Change the MT940 file formatContent Hi , We have an issue with line 25 in the MT940 format. We are getting sort code + account number with no delimiter and our b…User_2025-02-07-07-19-13-925 153 views 5 comments 0 points Most recent by Venkatesh Padamwar Payables, Payments & Cash Management -
JPMC Embedded Solution : Clarification on ISO Domain,Family and Sub-FamilyHi Team, As part of JPMC embedded solution, we would like to get a clarification on below items i. Do we need to define code map groups ii. JPMC has shared a list of tra…-211966 11 views 5 comments 0 points Most recent by DMW_HILLSCOUNTY Payables, Payments & Cash Management -
Can we add the DFF fields in the BT and Adhoc payment pagesHi, Description: Can we add the DFF fields in the Bank Account Transfer and Adhoc Payment pages? Use Case and Business Need: Business users want to enter the payee addre…Ravi S 11 views 3 comments 1 point Most recent by Venkatesh Padamwar Payables, Payments & Cash Management -
Create a PPR with invoices with "pay alone" check and credit notes.Summary: Unable to do a PPR with invoices with "pay alone" check and credit notes. Trying to know if there's any way with this configuration to include credit notes. Con…LauraDonate 41 views 5 comments 0 points Most recent by Venkatesh Padamwar Payables, Payments & Cash Management -
What are bank branch types, When and How to use themSummary: What are branch types and significance of the existing Branch types in the dropdown list Content (please ensure you mask any confidential information): Setup: M…Vidya Subramani-Oracle 164 views 3 comments 0 points Most recent by Oriana L. Payables, Payments & Cash Management -
Escheated Payments should be Excluded from Cash in Transit ReportOrganization Name (Required - If you are an Oracle Partner, please provide the organization you are logging the idea on behalf of): Cottage Health Description (Required)…Neal Foley 211 views 18 comments 2 points Most recent by Jacque Reeves Payables, Payments & Cash Management -
Is is possible to load data directly onto the flexfield attributes used on BAI2 ?Summary: We used to have one configuration on R12 where when loading a BAI2 file, we had mapping rules on a whole transaction line. On Oracle Cloud, the same line is spl…Mark Halliday 22 views 2 comments 0 points Most recent by kunjesh singh Payables, Payments & Cash Management -
Disbursement Acknowledgment Integration mismatch (Ways to align with the Bank)This Feature was required by one of our clients: We followed the steps in this note here to get the feature setup and enabled: Oracle Fusion Cloud Financials 23D What's …Thato Mashatola-Oracle 2 views 4 comments 1 point Most recent by BhasTham Payables, Payments & Cash Management -
Is Manual Clearing feature available in Fusion Cash management?Summary: Is Manual Clearing feature available in Fusion Cash management? Content (required): We have Manual clearing option in EBS, R12: CE: How To Manually Clear and Un…Muhammad Ali Raza 343 views 8 comments 0 points Most recent by Santoshh Mishrra Payables, Payments & Cash Management -
RECONCILING ACCOUNTING ITEMS WITH OTHER ACCOUNTING ITEMS IS NOT AVAILABLESummary: RECONCILING ACCOUNTING ITEMS WITH OTHER ACCOUNTING ITEMS IS NOT AVAILABLE; I must select an amount from the statement. It is possible to reconcile accounting on…Sofía Mascarello 11 views 2 comments 0 points Most recent by Patricia Vargas Payables, Payments & Cash Management