Category 332
Discussion List
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            Auto-create external cash transactions for transaction code 165 only when the deposit type is RBC DEHello everyone, We need to automatically create External Cash Transactions in Oracle Cash Management, but only for one deposit type: RBC DEP. Right now we receive multip…Mukesh Sirigiri 3 views 0 comments 0 points Started by Mukesh Sirigiri Payables, Payments & Cash Management - 
            
      
            Improve EDI Invoice to PO MatchingSummary: Improve EDI Invoice to PO Matching Content (please ensure you mask any confidential information): We are looking to improve our PO to Invoice matching process f… - 
            
      
            Why we are not able to adjust the void date for voided payment?Summary: We are not able to adjust the Void date for Voided payment the payment date within October period and the Void date within the November period. If it is not abl…Mohammad Hussein 2 views 0 comments 0 points Started by Mohammad Hussein Payables, Payments & Cash Management - 
            
      
            Support for CTR Ciphers is Ending Q1 2026 - JPMorganSummary: Hi Team, Since Oracle is our third-party tool or solution to manage your connection with JPMorgan. Please confirm compatibility with the required ciphers at Ora…Shashi Kumar 147 views 10 comments 0 points Most recent by Shashi Kumar Payables, Payments & Cash Management - 
            
      
            How to enable PO distribution level matching for PO matched invoice in Oracle Fusion?A PO has single line, single schedule and two distributions. 3way match at order level is implemented. Invoice is getting validated although billing amount doesn't match…Jaya_sree 17 views 4 comments 0 points Most recent by Jaya_sree Payables, Payments & Cash Management - 
            
      
            how to enable bursting at ESS job level for Invoice Document recognition Tracking Report in payablesWe have added the bursting definition in Data Model. And, enabled bursting at report level, But not able to edit at ESS job level to enable the bursting.Rama Krishna T 8 views 0 comments 0 points Started by Rama Krishna T Payables, Payments & Cash Management - 
            
      
            How to populate the reconciliation reference using the Additional Entry Information (<AddtlNtry)Unable to populate Reconciliation Reference from Additional Entry Information (tag ) in ISO20022 CAMT.053.001.02 Bank Statement. We are attempting to load the Cash Manag…Bhavyasri Gaduputi 12 views 0 comments 0 points Started by Bhavyasri Gaduputi Payables, Payments & Cash Management - 
            
      
            Is there a way to add new field in a standard screen (there is no DFF)Hello Community, I have a requirement in the Receivables module. When creating receipts, there is a field called Comments on the "Create Receipt" screen. I want this Com… - 
            
      
            Can we prevent zero amount AP invoice lines to be routed for Account coding workflow.Summary: Can we prevent zero amount AP invoice lines to be routed for Account coding workflow. Suppose one invoice line is cancelled with zero amount and 2nd invoice lin…Preeti Ranjan 5 views 1 comment 0 points Most recent by Purvi -Oracle Payables, Payments & Cash Management - 
            
      
            Invalid liability account. Liability account cannot be created on interproject AP invoiceSummary: We are using interproject billing where the customer invoice is created for a legal entity in one BU, the corresponding AP invoice is then created for a legal e…Chris van de Graaf Perth WA 34 views 4 comments 0 points Most recent by Jayshree Chavan Payables, Payments & Cash Management - 
            
      
            Hold "Liability Account Invalid": Cannot Create Liability AccountSummary: Lately we have imported lot of invoices for all BUs. when trying to validate the invoices by running "Validate Payables Invoices”, we are getting Hold of "Canno…Yftach Paschur-Oracle 1.5K views 22 comments 0 points Most recent by Jayshree Chavan Payables, Payments & Cash Management - 
            
      
            Storing French SIREN (Taxpayer ID) for Suppliers and Customers in Oracle FusionSummary: We are looking for a suitable field to store the SIREN number for French companies. Our understanding is that SIREN serves as a Taxpayer ID equivalent for Franc… - 
            
      
            Can we update payment date once a payment is made but not accountedHi , Is it possible to update the payment date one payment is run via PPR but it is not yet accounted.Kushal Soni 12 views 3 comments 0 points Most recent by Venkatesh Padamwar Payables, Payments & Cash Management - 
            
      
            Where to find the client channel data (i.e., the payment initiation method) in ERPHi, The requirement is to identify where the client channel data (i.e., the payment initiation method, such as H2H or J.P. Morgan Access) is stored in Oracle Fusion, and…Keerthana Sekar 4 views 0 comments 0 points Started by Keerthana Sekar Payables, Payments & Cash Management - 
            
      
            Unable to view system hold to cancel incomplete invoice. Is this a bug?Summary: We are unable to view system hold to cancel incomplete invoice. The invoice is not validated or accounted. However, we are unable to view the distribution or vi…Sweata Chattopadhyay-279232 8 views 1 comment 0 points Most recent by Latha Palanisamy-Oracle Payables, Payments & Cash Management - 
            
      
            Payment Approval Is Not TriggeringSummary: Payment approver is not triggering any approval for condition is 1=1. It means approval should trigger for all the payments. But its not triggered. I am not als…Kish_Hariharan 14 views 1 comment 0 points Most recent by Kish_Hariharan Payables, Payments & Cash Management - 
            
      
            Payables Invoice Validated event filterSummary: Hello, does anyone have the sample payload for "Payables Invoice Validated" business event. I am trying to determine the feasibility of filter event by source, … - 
            
      
            Issues after Scheduling Processes to Automate InvoicesSummary: We are doing a POC to automate invoice processing on PO matched invoices but after implementation, we have encountered several issues Content (please ensure you… - 
            
      
            Invoice header DFF cannot use in Manage Invoices search criteriaSummary: We can see searching criteria of invoice header DFF, but the searching result is not as expect. May i ask is it a bug and how to fix it? Thank you in advance! S… - 
            'Account Transaction' is optional on the Create External Transaction form in Cash Management?The ‘Account Transaction’ option on the Create External Transaction form in Cash Management appears to allow the creation of unaccounted External Transactions — these ca…S MURALI MOHAN 10 views 0 comments 0 points Started by S MURALI MOHAN Payables, Payments & Cash Management
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            Is there a report where AP Payment approver can drilldown to InvoicesAP PPR approver cannot drilldown to AP invoice from notification. This seems standard functionality Has anyone found a report where drilldown functionality exists to acc… - 
            
      
            New employee unable to set up direct deposit because bank account in use as SupplierSummary: We have people set up in our system as suppliers that often become employees (these are students who are set up as suppliers in order to issue refunds). When th…Jessamyn Donovan 39 views 7 comments 0 points Most recent by larachalak Payables, Payments & Cash Management - 
            
      
            How to modify payment file prefix and suffixSummary: Dear All, We would like to know if it is possible to change the name and extension of the file downloaded from the payment batch form. Specifically, in the task…Daniele Landinetti 10 views 2 comments 0 points Most recent by SankarBalu Payables, Payments & Cash Management - 
            
      
            How to group invoices by legal entity in 1 payment file when doing batch payment.When doing batch payment, for a supplier having multiple invoice with different legal entity, 1 payment is created. In such scenario at payment file and xml level, the l…Gitika Baranwal 46 views 3 comments 0 points Most recent by User_CR25N Payables, Payments & Cash Management - 
            
      
            Can Confirm Receipts notifications be switched on for a single supplier?Summary: The organisation does not currently have the Confirm Receipts notification switched due to the high number of notifications being sent to users. Can certain con… - 
            
      
            when I run the IDR Tracking Report, these are showing as "deleted after import",when I run the IDR Tracking Report, these are showing as "deleted after import",Pravalika.Kesari 22 views 9 comments 0 points Most recent by AnamariaRoman-Oracle Payables, Payments & Cash Management - 
            
      
            how to add a new source of the payable invoiceSummary: Hi Experts, We have a new source of payable invoice which need to be created. can you please guide how to add a new invoice source? Thank you. Content (please e…Sandy Ling 9 views 2 comments 0 points Most recent by Sandy Ling Payables, Payments & Cash Management - 
            
      
            Is Document IO available for invoices?I'm wondering if Document IO is available for invoices? I found a demo (https://videohub.oracle.com/media/Fusion+Applications%3A+Document+IO+Agent+in+Cloud+ERP/1_v0cthk1…Rachel Fisher 177 views 3 comments 0 points Most recent by Srivatsav PR-Oracle Payables, Payments & Cash Management - 
            
      
            Is there an option to enter the tax rate/ classification in the One Time Payment FBDIThe User is importing one-time payment requests using the Payment Request FBDI, but there is no field to specify the tax rate/classification. As a result of this, the pa…Sandeep Nayak-Oracle 175 views 11 comments 0 points Most recent by Truptesh Solanki Payables, Payments & Cash Management - 
            
      
            Accounting Solution to Handle Payment CancellationSummary: Currently, the Reversal Method of Manage Subledger Accounting Options> Payables is 'Change Sign'. The journal line rule of payment have checked on 'Switch Debit…Abby Chen522 49 views 5 comments 1 point Most recent by Abby Chen522 Subledger Accounting & Accounting Hub