Enterprise structure
Definition: An enterprise structure is the structure that represents an enterprise in the Oracle ERP
system. It is subdivided into various organizational units which, for legal reasons or business-related
reasons, are grouped together. An enterprise structure defines various levels in an organization.
1. Oracle Company will give the Customer Service Identity (CSI) number to the client once taken the
subscription.
2. Any employee can see SR’s in the team as if they are using the same CSI number. Monthly 10- 15
Free SR’s for one CSI after that it will charge for SR’s
Fusion VS R12
Fusion R12
1. Enterprise structure 1. Business group
2. Division (Optional)
3. Ledger & Legal entities 2. Ledger & Legal entities
4. Business unit (In fusion called business 3. Operating unit
unit)
5. IMO/ Inventory organization 4. IMO/ Inventory organization
6. Sub inventory organization (Not 5. Sub inventory organization
mandatory)
1. Enterprise structure : Barrick Gold (HRMS people do this setups)
In fusion we can create only one enterprise structure for one instance under this we can create N
number of structures called Legislative data groups (LDG). But in R12 we can create N number
of Business groups in in EBS (E Business suit)
LDG always specific to one county
2. Division: Barrick Mining’s, Barrick refinery, Barrick others
Different line of business or different regions that’s depend on client request
Division can refer multiple countries also
Difference between LDG and DIVISION: Company have auto mobiles business in 10 countries
this 10 can have one division like auto mobiles for each company we should have separate LDG
Enterprise structure Page 1
3. Legal entities: Whenever company establish we have to register under legal entity
USA (USA ledger), Spain (Spain ledger), AUS (AUS ledger)
4. Business unit: It can be a branch or units like Hyderabad, Bangalore.
Florida, Texas, Sydney
5. IMO/ Inventory organization: It can be a plant or factory
Refinery units
6. Sub inventory organization: Ware houses, Godowns
Multiple countries implementation: More than one country implementation
Busines
Define Enterprise s Group
Structure
Srilank
Division Division Division
LOB ( India) a Nepal
Country Srilanka Primary Nepalese
Primary Ledger Nepal Primary Ledger
(INR) LKR Ledger rupees
Legal Entity\Legal Legal Entity\ Legal Entity\
Establishment Legal Establishment Legal Establishment
Taxes\Juris
Head Office Business Unit Business Unit Colombo Business Unit
Exp\
Inventory Org Inventory Org Inventory Org
Revenues Colombo
Godowns\Ware Houses\ Godowns\Ware Houses\ Godowns\Ware Houses\
Factory Locators Locators Locators
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Implementation Team
1. Functional Team
a. Financial Functional consultant
b. HR
c. SCM
d. CRM
e. HCM
2. Technical Team
3. Data Base Administration Team
General Ledger setups
1. Create Primary ledger and 4 c’s
2. Manage reference data sets (Cloud only) (HCM)
3. Manage locations (HCM)
4. Manage Enterprise structure (HCM)
5. Mange legal address(HCM)
6. Mange legal entity (HCM)
7. Manage legal entity registration (HCM)
8. Manage business units (HCM)
9. Assign business unit business function
10. Manage business unit set assignment
11. Manage business unit data access for users
To do any setup application implementation role is enough
Job role subset of multiple (Journal, voucher) set of duty roles
Roles to be assigned to user
1. Application Implementation consultant
2. Application Implementation Administrator
3. Chief financial officer
4. Controller
5. Employee
6. Financial Analyst
7. General Accountant
8. General Accounting manager
9. IT security Manager
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After assigning the roles have to run the LDAP program
1. Create 4 c’s and Primary ledger
These setups already done in process we have in GL fusion document check it once if you have doubt
2. Manage reference data sets (RDS) (HCM)
It is available in cloud only. It allows you to access the data across business units or across
organizations. RDS is share the setup data across the BU or else to restrict. In fresh instances we have
only two sets Common and Enterprise sets
Go to set up and maintenance
Set up: Procurement/Financials
Functional area: Enterprise profile
Task: %Manage% reference% data%
Select Manage Reference Data Sets
Click on + to create data sets
You can create new set or else you can take default once like if you take the default ( common)
set this set can access world wise
Save and close
o Once you give the details you can’t edit and modify the set code you can edit or modify the set
name and description
This set can use in other units like while creating data sets just you can give the set name as this access
set then you can access the data
3. Manage locations (HCM)
We have to create location for enterprise (Head office), all the stock related information, stock
brokers, marketing related information and all the business information will maintain here. Payroll
comes into legal entity level. Head office nothing but that is going to looking some place that is the
purpose we have to create location
Go to set up and maintenance
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Set up: Procurement/Financials
Functional area: Enterprise profile
Task: %Manage% location%
Select Manage Locations
Click on + to create location
Under basic details we have location set as common set(default) but we have to change as our
data set likewise give the all information like contact details, legislative information(trade name:
if it is MNC we have trade name given by exchange)
Give the address details
Click on Review for your understanding if the information is right or wrong
Save and submit
4. Manage Enterprise structure (HCM)
Go to setup & maintenance
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Setup: Procurement/Financials
Task : %Manage %Enterprise%
Select : Manage Enterprise HCM information
We don’t need to create we have default enterprises just we have to correct or update it
One enterprise structure will come you can edit (Update and Correct) this as per you requirement
but we shouldn’t delete because it is predefined by oracle
Click on Update one popup will come give the date and action reason and click on ok
Give the details like enterprise name and location which we already created one
Next give the details under enterprise information
This will take care HCM people
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o Worker NO generation: Automatic generation using legal entity
Automatic generation using Global sequence
Manual and not used this are depends up on client request
o Employment model: 2 Tier – single assignment (It gives the access across the globe)
Remaining options we have to know
And this option only in fusion
Next give the details under User and role provisional information
o For all this option we have two options 1. Both person and party user
2. Party users only
3. None
First one allows to create user both customer and user
Second one only customer and third no one
Click on submit and click on ok
5. Manage legal address (HCM)
Go to setup & maintenance
Setup : Procurement/Financials
Functional area: Legal structure
Task : %Manage %legal% address%
Select : Manage legal address
Click on + to create address
Give the legal address details
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Click on ok and submit the details
6. Manage legal entity (HCM)
Go to set up and maintenance
Setup : Procurement/Financials
Functional area: Legal structure
Task: %Manage% legal %entity%
Select Manage legal entity (Scope should be your ledger name)
Click on scope, click on create new and click on apply and go to task
Click on + to create legal entity
Give the details and legal address (which already created for legal address), save and
close
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Save and close
7. Manage legal entity registration (HCM)
Go to set up and maintenance
Set up: Procurement/Financials
Task: %Manage% legal %entity% registration%
Select Manage legal entity registration
Click on scope, click on create new and click on apply and go to task
Search and select your legal entity which already you created one
Click on done
8. Manage business units (HCM)
Go to set up and maintenance
Set up: Procurement/Financials
Functional area: Organization structure
Task: %Manage% business% unit%
Select Manage business unit
Click on + to create Business unit
Give the BU name and Location name and code
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Save and close
o In Fusion no need to build the relation between legal entity and business unit. We have
another way to do it.
9. Assign business unit business function
Here we can build the relationship between Legal entity and primary ledger and we can assign the
functions to business unit
More details about this go throw this link
https://www.youtube.com/watch?v=E8rvMM0C4bs
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Organization structures
Task: %Assign% business% unit% business% function%
Select Assign business unit business function
Scope should be Business unit because we are building the relationship between LE and PL
Then under financial reporting section give the primary ledger name then automatically legal
entity name will come if you assign the relationship between these two in primary ledger
creation otherwise give the legal entity name here
Then give the business unit functions means enable the functions which you want for this unit
If you enable the all functions you can manage the all functions in the business unit
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Below points related to above points
o Receivable transaction process and revenue management also if you are going to implement
along with this billing process you can enable
o Advance collection if you are implementing
o It is different functional information
o If you are going to receipt Process for BU
o If you are going to expenses process for BU
o It is different functional information
o Project accounting – you can’t do project costing and billing setups if you are not enable this
10.Manage business unit set assignment
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Organization structures
Task: %Manage %business %unit% set%
Select Manage business unit set assignment
Scope should be our Business unit
In this for business unit transactions we will give the set assignment like common set or our own
defined set then this unit transactions or functions will access by global or our particular region
or particular unit
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11.Manage business unit data access for users
For more details click on below link
https://www.youtube.com/watch?v=Rmn-kbZlXzk
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: General ledger
Task: %Manage %business %unit % data% access%
Select Manage Business unit data access for user
Click on + to assign Business unit to user
Under Business unit security context we have to assign our business unit to user
Click on save and close
Likewise we have to do several roles to business unit
Which module ledgers work under Business Unit?
Business unit level Ledger Level Inventory Level
Accounts payable manager General Accountant
Accounts receivables General Accounting Manager
manager (Billing manager,
Billing specialist)
Project account Controller, Financial Analyst,
Financial specialist
Fixed asset (Asset manager,
Asset accounting)
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Purchasing setups
In Real time we don’t do this purchase team will define it
S.No Particulars Required
1. Manage purchasing line types (Mandatory)
2. Manage unit measures (Optional)
3. Manage carrier lookups (Optional)
4. Manage Free On board (FOB) lookups (Optional)
5. Manage fright term lookups (Optional)
6. Manage purchasing document approvals (Mandatory)
7. Configure procurement business function (Mandatory)
8. Configure requisition business function (Mandatory)
9. Manage procurement document numbering (Mandatory)
10. Manage procurement agents (Mandatory)
11. Manage document styles (Optional)
12. Define translation rules (Mandatory) (TAD)
13. Manage Legislative Data Group (Mandatory)
14. Assign Legislative Group to Legal Entity (Mandatory)
13. Manage users (Employee as a user) (Mandatory)
14. Manage supplier (Mandatory)
Roles to be assigned to user
Buyer
Purchase Analysis
Procurement Requester
Procurement Preparer
Procurement Manager
Supplier Manager
Supplier Administrator
1. Manage purchasing line types
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement foundation
Task: %manage% purchasing%
Select Manage purchasing line types
In R12 we have default value but in cloud we have to create
Click on + to create line types
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Create the line items like goods and services remaining options if you want to give you just give
it
Click on save and close
2. Manage unit measures
Oracle gave the so many measures like liters, kg, tones apart from these if you want to create you can
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement foundation
Task: %manage% units% of% measure%
Select Manage units of measure
Check before you create, your need measure there or not in the oracle default ones
Click on + to create unit measure
Give the name, code and class name (quantity)
If you want new class name just click on manage UOM classes and define new one
Click on save and close
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3. Manage carrier lookups
Who is doing transportation for use for moving item one place to another place?
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement foundation
Task: %manage% carriers % lookups%
Select Manage carriers lookups
Query the WSH_MODE_OF_TRANSPORT
Select that and below we have lookup codes under this click on + and create transport details
Click on save and close
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4. Manage Free On board (FOB) lookups
It tells the owner ship and goods transport details like where the shipment is done and who is the
responsibility for this till goods deliver to receiver
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement foundation
Task: %manage% F OB% lookups%
Select Manage FOB lookups
5. Manage fright term lookups
Here we can specify who will pay the shipment and loading charge like suppler or customer
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement foundation
Task: %manage% fright% term%
Select Manage fright term lookup
Click on + to create
Give the details and save and close
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6. Manage purchasing document approvals
Here we can create the purchasing document approval hierarchy
Go to set up and maintenance
Set up: Procurement
Functional area: Approval management
Task: %manage% purchasing% document% approvals%
Select Manage purchasing document approvals
Select the stage as Terms and participant as Terms Approval serial
Then click on Edit rules in BPM (In R12 AME (Approval management) but in cloud
BPM(Business process management)
One pop will come just click on ok and next same Select the stage as Terms and participant as
Terms Approval serial
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Click on edit rules
Click on + to create rules
Click on Add action under Actions
oAction type: Approval required
oRoute using: Single, group, job, position hierarchy here we keep as singe approver because
of if we keep it as other we can create hierarchy group or job like that.
o User type: keep it as buyer because of we are creating rule for the PO
Then click on Add conditions under conditions tab
Give the conditions
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o Type: Approval task attribute (System)
User defined attributes (Own)
o Attribute: Functional ordered amount we have different attributes like currency, material
base and amount base (why we do this this condition will apply for functional consultant for
approvals )
o Operator :Keep it as between then minimum and maximum values give means approval
value amount
Why we add this to condition if functional consultant done any orders for Bu (Functional
ordered amount) between 10 to 10000 condition will apply for approval
Add the another condition
o Type: Approval task attribute (System)
User defined attributes (Own)
o Attribute: Procurement BU (why we do this as attribute because this condition will apply for
BU
After saving this deploy option will highlight
Click on deploy and save and close
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7. Configure procurement business function
This is place where define document types (Standard, Contract and Blanket PO, etc.)
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Foundation
Task: %configure% procurement%
Select Configure procurement business function
Select the BU and click on ok
Give the details under General tab in Main tab
Payment terms, shipping method, freight terms, FOB, inventory org, line of goods, currency and
currency conversion rate
Under purchasing tab give the details like maximum file size and match approval level
Ignore sourcing and save it
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Then go to Document types tab
Here we can see the PO types like Blanket Contract and Normal PO
In cloud Planned PO is not their
In cloud no need of hierarchy
In SAAS we can’t do the changes In PAAS you can do customization
Here you can change the names
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8. Configure requisition business function
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Foundation
Task: %configure% requisition%
Select Configure requisition business function
Select the BU and click on ok
Give the details under requisition default deliver to organization should be child org
Save and close
9. Manage procurement document numbering
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Foundation
Task: %manage% procurement% document%
Select Manage procurement document numbering
Click on + to create numbering
You can give the all document type if you want
Save and close
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10.Manage procurement agents
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Foundation
Task: %manage% procurement% agents%
Scope should be your BU
Select Manage procurement agents
Click on + to create agent
Save and close
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11.Manage document styles
Here you can create your own PO style
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Foundation
Task: %manage% document% styles%
Select Manage document styles
Click on + to create style
12. Define translation rules (SLA setups)
In R12 we give the default code combinations like Receiving, Accruals, Purchasing but in cloud it
manage in SLA (Sub Ledger Accounting)
Manage Mapping sets
Manage Account Rules
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Manage Transaction Accounting Definitions (TAD)
Manage Subledger Accounting Options
Run Update Subledger Application options
1. Manage mapping sets
For mapping set we have to assign for 3 Accounts
1. Accrual account
2. Charge account
3. Purchase price variance
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Translation account rules
Task: %manage% mapping% sets%
Select Manage mapping sets
As a purchasing setups we can set 3 accounts
1. Accrual account
2. Purchase price variance (PPV)
3. Charge account
Difference between PPV and RPV(Receipt price variance) is called Standard cost
Without define this setups we can’t create PO
We have to create this three accounts
Click on + to create rule under input source
Give the mapping set details and go to input source tab
Click on actions and click on select and add procurement business unit and item category
separately
1. Accrual Account
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Again click on actions and choose Select and add then give the source as item category
Go to Chart of accounts tab
Click on + icon and give your COA
Then go to Mappings tab and click on + icon to mapping
Give the details like Bu and category ( your categories or “*” it indicates all type of categories)
and charge account is accrued expenses, if you give the specific item then give the related charge
account
Click on save and close
2. Charge account
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Then go to chart of account tab give your COA instances
Then go to mappings tab give the business unit name and item category ( here item category if
you give the any category like raw material, goods then you can give the account code
combination then when you enter with this category this expenses hit to that combination next if
you give the item category as (*) this means it includes all materials means which you defined
ones and give the hitting account combination
Charge account if you give the * (all items) account should be Accrued expenses if you give the
any one item give the related account
In the below I gave only * item category because I didn’t created items
3. Purchase price variance (Do the same as above)
2. Manage account rules
For Accounts rules we have to assign for 3 Accounts
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1. Accrual account
2. Charge account
3. Purchase price variance
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Translation account rules
Task: %manage %account %rules%
Select Manage Account rules
Click on + to create rules
Give the rules and click on + to under Rules tab
1. Accrual account
2. Charge account
Give the mapping set as a value type and value is charge account
Save and close
3. Price Price variance account
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3. Manage Transaction Accounting Definitions (TAD)
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Translation account rules
Task: %manage % transaction% account %
Select Manage Transaction account definitions
Select seeded one like Purchasing TAB Default Accounting and click on Duplicate Icon
Give the name and click on save and close
After that you will get the one page in that assign your account rules to Transactions Like charge
account to your created charge account, accrual and PPV to your created ones
Status will show as incomplete once you save and active it. It will change as complete
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4. Manage Sub ledger Accounting Options
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Translation account rules
Task: %manage % Sub% ledger% accounting % Option%
Select Manage Sub Ledger accounting Options
Query you primary ledger and expand the ledger
Then will get list of values then click on Purchasing and update accounting options
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Then one page will appear in that give the Transaction account definition (TAD) details
Save and close
5. Run Update Sub ledger Application options
Go to set up and maintenance
Set up: Procurement
Functional area: Procurement Translation account rules
Task: %update % Sub% ledger% accounting % Option%
Select Update Sub Ledger accounting Options
Give the purchasing as Sub Ledger Application
Go to navigation tab
Select the Tools
Click on schedule process an check the status of the program
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13. Manage Legislative Data Group (LDG)
Go to set up and maintenance
Set up: Procurement
Functional area: Legal structure
Task: %manage% legislative% data% group%
Select Manage Legislative Data Group
Scope should be your Legal entity
Click on + to create data group
Give the details of LDG
Click on Submit
14. Assign Legislative Group to Legal Entity
Go to set up and maintenance
Set up: Procurement
Functional area: Legal structure
Task: %manage% legal % entity% HCM% Information%
Select Manage Legal Entity HCM Information
Scope should be your legal entity
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Then click on Edit Button and choose the Update option
Go to Payroll statutory tab and give the LDG group to Associated LDG
Click on submit
Click on Done
15. Manage users (Employee as a user)
Go to set up and maintenance
Set up: Procurement
Functional area: User and Security
Task: %manage % users%
Select Manage Users
Click on + to create user as an employee
Give the employee name under Personal details and
Go to employment information and give the details
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Save it
16. Manage supplier
In fusion supplier site can’t be created by any user it have few restrictions but in EBS we can for this we
have to give the role as
Supplier Manager it gives the supplier creation power to user
If we are doing the implementation for any client before creating supplier we have to run a report called.
Present we are doing the practice in vision so no need to do this because of that was already done
Specify supplier number
Go to setup and maintenance
Go to task click on implementation project
Query your project and search the task called Specify supplier numbering
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Click on go to task if it is fresh instance you have to give the number if it is vision instances
number already given
Save and close
Go to Home page
Select the Procurement tile
Then click on Suppliers under that
Click on Task icon
Select the Create supplier option
Give the supplier details and click on create
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Give the details under Profile Tab like general information and under profile details give the
payments tab information means give the payment type like check or electronic payment
Select the check and click on tick icon then check will activate
Click on save
Click on Addresses tab then click on + icon to create address
Click on Address tab and then click on + (I con) to create address
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If you want to do the electronic payment just click on that then this term will activate if you give
this you have to give the bank account also
Go to bank accounts sub tab and give the details
o Update unpaid invoices: If you keep it as yes means before creating the bank account
invoices also will effect
Click on ok and submit.s
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Give the address details and click on save and close
Go to contact tab and give the details
Click on save and close
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Then go to site tab here + Icon will in gray color means it will not create in fusion we should
create address and contacts but we should not create sites details. If you want to create you have
to be Procurement agent even though procurement manager role is given he has to be made as
procurement agent to supplier
How to create procurement agent
https://www.youtube.com/watch?v=lmE3WTqgI8k
Why should we create procurement agent: In real time procurement agent will create the supplier site but
this is demo instances so we must create employee as a procurement agent.
Go to setups & maintenance
Setup: Procurement
Functional area: Procurement Foundation
Task: %Manage% Procurement% Agents%
Select Manage Procurement Agents
Click on + to create procurement agent
Give the details of procurement BU and agent details
Click on save and close
Login to the employee user
Then query the supplier (Go to procurement tile Click on procurement select the suppliers
Click on the Task icon Select the Manage suppliers query with your supplier name )
and go to sites tab
Click on + icon to create site for supplier
Give the BU name and Address name means supplier name
Click on save then site assignment tab will enable (if you not give this in PO creation supplier
name will not show)
Click on + to assign BU
Give the Buyer BU details and ship to bill to location details
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Go to invoicing tab and give the payment currency
Click on save and close
Then if you get the any message in site level like site has no contact go to contact tab and
give the details normally it will give in the starting contact creation only if you missed their
have to give here
Go to contact tab Select you supplier then click on pencil (edit) icon
Go to Actions under Contact addresses
Click on Select and add under Actions tab and give the address
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Save and Close
Inventory setup
If you want to do these setups first we have to add offerings to our project
1. Procurement (Core purchasing related setups)
2. Material Management and Logistics (For creating inventory and sub inventory related definition)
3. Product Management (For creating item related definition)
S.No Particulars Required
1. Manage Location (Mandatory)
2. Assign Business unit Business Functions (Mandatory)
3. Define Facilities for Procurement (Optional)
Facility Shifts
Facility Work day pattern
Facility Schedules
4. Create Item Master organization (IMO) (Mandatory
5. Create Inventory organization (Child) (Mandatory)
6. Create cost organization (Mandatory)
7. Manage cost books (Mandatory)
8. Manage cost organization relationship (Mandatory)
9. Create sub inventory (Mandatory)
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10. Manage functional area catalog (Mandatory)
11. Create item category (Inventory & Purchasing) (Mandatory)
12. Manage item class (Optional)
13. Manage items (Mandatory)
14. Manage receiving parameters (Optional)
15. Sub ledger accounting (SLM) (Mandatory)
1) Mapping sets (At least 2 we have to define (Receiving, inventory material account))
2) Manage accounting rules
3) Manage sub ledger journal entry
4) Manage accounting methods
5) Run update sub ledger application options
Roles to be assigned to user
Inventory manager
Shipping Agent
Shipping Manager
Supply chain planning application administrator
Product Manager
Product configuration manager
1. Manage Location for inventory
Created in GL setups, if you want to create new you can create.
2. Assign Business unit Business Functions
This set up already done in the Payable set up but we make sure procurement related options should
be enable in this
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Organization structures
Task: %Assign% business% unit% business% function%
Select Assign business unit business function
We should enable the Procurement, Requisitioning, Receiving and Material Management
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Save and Close
3. Define Facilities for Procurement
In EBS when you create inventory organization we assigned workday calendar it is mandatory. Here the
same calendar is calling as Facilities
1. Manage Facility Shifts
Go to set up and maintenance
Set up: Procurementa
Functional area: Organization structures
Task: %Manage %facility %shifts%
Select Manage Facility Shifts
Click on + icon to create shifts
Give the shift details
Save and close
2. Manage Facility Work day pattern
Go to set up and maintenance
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Set up: Procurement
Functional area: Organization structures
Task: %Manage %facility %workday %pattern%
Select Manage Facility Workday Pattern
Click on + icon to workday
Give the workday details length in days 7 working days and assign facility shift
Save and Close
3. Manage Facility Schedules
Go to set up and maintenance
Set up: Procurement
Functional area: Organization structures
Task: %Manage %facility % schedule %
Select Manage Facility Schedules
Give the details and go to schedule tab and click on + icon and assign the workday pattern here
Save and close
4. Manage Item Master Organization (IMO)
For more details click on the below link
https://www.youtube.com/watch?v=be9J-METNJc
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Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Organization structures
Task: %Manage %item % organization%
Select Manage Item organization
Click on + to create item master org
Give the BU name, Legal entity name, and Location details
Click on Next and give the master org details and save
Click on save and close
5. Manage inventory organization (ICO)
It is nothing but where we identify to maintain physical on hand stack.
Go to set up and maintenance
Set up: Financials
Functional area: Organization structures
Task: %Manage %inventory% organization%
Select Manage inventory organization
Click on + to create inventory child org
Give the BU name, Legal entity name, and Location details
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Click on Next and give the schedule(predefined one) and item master organization
Save and close
o Schedule : Work day calendar (Shifts, holidays etc)
o Starting Revision : Its falls under inventory controls
o Locator control: It’s clearly tell the exact place of goods means items, we can maintain
inventory or item level if you enable at inventory level we can follow for another goods
also so we can do at item level
o Allow negative balances: When we don’t have items in the unit but we have to adjust
somewhere that’s the reason we have to enable it
o Allow negative on-hand transaction: When we don’t have on hand items but we have to
send/ distribution the item if you enable this system allow the items to send
6. Manage cost organizations
In cost organization level you can open the period not in the inventory organization
Go to set up and maintenance
Set up: Manufacturing and supply chain materials management
Functional area: Cost accounting
Task: %cost% organization%
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Select Manage cost organization
Click on + to create organization
Give the details of name and legal entity
Save and close
7. Manage cost books
In R12 if we open 10 inventory organization we have to open 10 inventory organizations but in cloud
not like that we have to open cost book only then all books will open
Go to set up and maintenance
Set up: Manufacturing and Supply Chain Materials Management
Functional area: Cost accounting
Task: %manage% cost% books%
Select Manage cost books
Click on + to create cost books
8. Manage cost organization relationship
Here we build the relationship between cost organization, Inventory master organization (IMO) and
legal entity
Go to set up and maintenance
Set up: Manufacturing and Supply Chain Materials Management
Functional area: Cost accounting
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Task: %manage% cost% organization% relation%
Select Manage cost organization relationships
Click on + to build the relationship between cost organization, Inventory master organization
(IMO) and legal entity
Select your cost organization and in the item organization select the IMO which you already
created in GL setups
Then click on create under Relationship tab (set assignments)
Then go to inventory organizations tab under relationship tab
Click on + and give the inventory organization details
Then go to Cost books Tab
Click on + icon and give the cost book, ledger, conversion type and first period details
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Click on Ok and save the record
9. Create sub inventory
Doubt
10. 11. Manage functional area catalog and category
It is nothing but item category catalog
Go to set up and maintenance
Set up: Procurement
Functional area: Purchasing categories
Task: %manage% functional% area% catalogs%
Select Manage Functional area Catalogs
Here just we rename the existing one
Query the purchasing catalog click on the purchasing
Then will get the purchasing catalog if you expand the Purchasing catalog you can see the
categories, if you want to add the categories you can add throw click the + icon
Click on create button and create the new catalog
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Click o save and continue and click on save
Then one page will open under this you can create number of categories
Click on + icon to create category
o If you want to change the catalog name just click the square icon on the left then you can edit that
name
Save and close
12. Manage item class
Go to set up and maintenance
Set up: Product Management
Functional area: Items
Task: %manage% item% classes%
Select Manage item classes
Click on + to create item classes
Then give the details of item classes
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Click on Save and Add details
Then go to security tab (Here you have to add Person and other details)
Click on + icon to create
Give the security details for person and group person means user, group means Product and
inventory manager assign the same for child organization also
Select group (CELLO-ICO) (INVENTORY MANAGER) go down on this name on tab will show
Click on select and add icon
Search with item then 30 item lines will show select all and click on Apply and ok
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Click on save and close
Do the same for all IMO and ICO organizations
13. Manage items
Go to home page
Select Product management tile (If you give the product manager role to user then it will appear)
Click on the Product information management icon
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Click on task icon and click on Create Item
Items will create in Master org only then those item have to link with child org
Give the organization name and item classes (If we done the item classes item assignment in
security tab then it will show)
Give the details of item and other information
Go to Overview tab and give the UOM is Each and secondary is kgs
Go to specification tab and go to the inventory under item organization and keep the yes for
inventory related options
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Then go to purchasing tab under item organization tab and go to outside processing item option
and matching approval level is receipt and invoice matching option is 3 or 4 way
Go to Associations tab click on select and add icon and search with the organization and choose
the child org and apply and done now this item will available for two organizations (Main and
child)
Then go to Categories tab
Click on + icon and give the catalogs, categories
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14.Manage receiving parameters
Go to set up and maintenance
Set up: Manufacturing and supply chain materials managements
Functional area: Receiving
Task: %manage% receive% parameters%
Select manage receiving parameters
One pop will come in this we have to give the Inventory organization (For all Inventory
organizations) then save and close
Accounts Payable
Definition: Accounts payable is money owed by a business to its suppliers shown as a liability on a
company's balance sheet. It is distinct from notes payable liabilities, which are debts created by formal legal
instrument documents
Setups
1. Manage Reference data sets (Common and BU)
2. Manage Location for Business Unit (BU Level)
3. Manage Business unit (BU Level)
4. Assign Business Unit Business Functions (BU Level)
5. Manage payment terms (Common and BU)
6. Manage common options for payables and procurement (BU Level)
7. Manage Invoice options (BU Level)
8. Manage payment options (BU Level)
9. Manage business unit data access for user (BU Level)
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10. Manage Bank accounts
11. Manage Payment Process Profile (PPF)
12. Manage Document sequence
13. Open periods
Roles to be assigned to user
4. Accounts Payable Manager
5. Accounts Payable specialist
6. Accounts Payable supervisor
7. Accounts Payable invoice supervisor
8. Accounts Payable Payment supervisor
1, 2, 3, 4 Setups done at General Ledger (HCM)
5 . Manage payment terms
1. Immediate payment term (Without discount)
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: payables
Task: %payment% terms%
Select Payment terms
Click on + to create payment terms
Give the name of payment term and click on + under installment tab to create discount for
payment
Click on + to create set code for this payment terms you can give our own defined set or default
one
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2. With discount (2/10 net of 30)
Net 30 means in 30 days you have to pay total amount, 2/10 means if you pay the payment within
10 days you are eligible for 2% discount like this you can create three discount like if you pay in
first 10 days you can eligible for 5% , second pay in 20 days 10% for 25 days you have 12% like
this you can create as per your company policy
Go to set up and maintenance
Set up: Financials
Functional area: payables
Task: %payment% terms%
Select Payment terms
Click on + to create payment terms
Give the name of payment term and click on + under installment tab to create discount for
payment
6. Manage common options for payables and procurement
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: payables
Task: %manage% common% option%
Select Manage common options for payables and procurement
Scope should be your BU
Give the default distribution and currency conversion options
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Click on Save and close
7. Manage invoice options
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: payables
Task: %manage% invoice% option%
Select Manage invoice options
Scope should be our BU
Under Invoice entry enable the all options except require invoice group
All data bases should be invoice data bases except pay data base is should be discount data base
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o Required invoice group: Acts like invoice batch, in this you can add number of invoices
like Batch names (RT-123) under this batch we have so many invoices like (INV-
1,2,3,4)like this
o Allow document category override: It assigns a unique numbers like
1. AP INV-123-1000 (When you enter invoice with 123 Starting invoice number)
2. AP INV-124-2000 (When you enter invoice with 124 Starting invoice number)
o Allow adjustments to paid invoices: When I am creating invoice wrongly entered debit
account instead of advertisement expenses debited telephone expenses, if you enable this
you can edit the invoice.
o Allow remit to supplier override for third party payments: If you want to pay the money
to third party you can enable this ex: Invoices will be one supplier but payment should
pay to another party(third party) along with this supplier
o Recalculate invoice installments: When you change the due for payments then system
automatically change the dates also Ex: NET10 (FEB 23) change the payment term from
this to NET50(MAR20) then system will change the due date feb23 to mar 20
o Hold unmatched invoiced: We have PO and NON PO based invoice if you enable this it
holds the NON PO based invoices because it doesn’t have any matching PO
o Payment terms: It depends on suppliers
o Term data basis: In which date system will generate the payment is called Term data basis
we have below dates
15. Goods receipt date
16. Invoice receipt date
17. System date
18. Invoice date
Term D Basis G.R Date Inv. Date Inv. R Date Sys Date
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NET30 01-JAN-19 05-JAN-19 10-JAN-19 15-JAN-19
Due date 30-JAN-19 04-FEB-19 9-FEB-19 14-FEB-19
This option give importance is supplier level, if info not available in this then it go to invoice option
level
o Pay date basis: If you enable this on the date of discount date payment will run otherwise
normal payment
EX: Discount date NET 30, 5(%)/10(D) if you give this as payment term
01-Jan-2019
11-Jan-2019 (Discount date)
30-Jan-2019 (Net date)
o Accounting date base: Doubt
Note: In EBS we have profile option enable but in cloud we don’t have
Under matching tab enable only one option like allow matching distribution override
Under Discount tab enable only one option like always take discount
Under prepayments tab give the payment terms and show available prepayments during invoice
entry
Under interest tab enable the Create interest invoices and give the account of interest expenses
distribution and minimum interest amount is 10
Under payment request give the payment terms
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Click on save and close
8. Manage payment options
Go to set up and maintenance
Set up: Financials
Functional area: payables
Task: %manage% payment% option%
Select Manage payment options
Scope should be our BU
Enable all options under payment accounting and overrides
Save and close
9. Manage business unit data access for users
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For more details click on below link
https://www.youtube.com/watch?v=Rmn-kbZlXzk
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: General ledger
Task: %Manage %business %unit % data% access%
Select Manage Business unit data access for user
Click on + to assign Business unit to user
Under Business unit security context we have to assign our business unit to user
Click on save and close
Likewise we have to do several roles to business unit
Click on Done
10. Manage Bank account creation
1. Manage bank
2. Manage Branch
3. Manage Bank account
1.2 Manage Bank and Branch
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Cash management and Banking
Task: %Manage % banks %
Select Manage Banks
Click on + to create bank
Give the details of bank and addresses, contacts optional
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Save and close
Then select the bank in same screen and click on create Branch
Give the branch name here addresses and Contacts is optional
3. Manage Bank account
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Cash management and Banking
Task: %Manage % bank % accounts%
Select Manage Bank accounts
Click on + to create bank account and give the details
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Give the cash account under the general tab it is mandatory to bank
Go to Payment documents tab and click on + to create
Give the Document Information details and give the document numbers also
Save it
Go to Business Unit Access tab
Click on + icon to assign BU to this account
Save it
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11. Manage Payment Process Profile (PPP)
If you want to process the payment what account will follow and for which bank account to cost the
payment and other criteria rules will define here
Go to set up and maintenance
Set up: Financials/Procurement
Functional area: Payments
Task: %Manage % payment% process% profiles%
Select Manage Payment Process Profiles
Click on + to create PPF
Give the details of ppf and under usage rules give the enable the all for all
Save and close
12. Manage Payables Document sequence
Go to set up and maintenance
Set up: Procurement
Functional area: Payments
Task: %Manage % payables% document % sequences%
Select Manage Payables Document Sequences
Click on + to create sequences
Give the details and go to assignment tab give the details
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Save and Close
13. Open periods
Go to Home page
Go to Payments tile and click any one like invoice or payments
Click on task icon
Click on Manage accounting period under Payables periods
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Then place cursor on the primary ledger then it will show how many ledgers assigned to that
primary ledger
Click on the primary ledger and give the first period and go to Action and click on Target period
and give the target month
Click on save
Then go to the below navigation accounts payables period status will show as open
Another Navigation
Go to Navigation icon
Select General accounting option
Click on Period close
Data access should be your primary ledger
Click on Payables icon which is given under the general ledger
Click on Task Icon and click on Manage Accounting Periods
Click on your ledger under Ledger tab
Then Click on actions tab and select the Open target period and open the period which you
want to open and click on done
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Period status
Open
Closed
Permanently closed Once you closed you can’t reopen
Future enterable
Fixed Assets
Assets which are purchased for long-term use and are not likely to be converted quickly into cash,
such as land, buildings, and equipment
Setups
1. Manage Fixed Assets Flex field Value Sets
a. Category (Major, Minor)
b. Location
c. Asset Key
2. Manage Fixed Assets Key Flex field Structure
a. Category
b. Location
c. Asset Key
3. Manage Key Flex field Structure Instance
a. Category
b. Location
c. Asset Key
4. Create Segment Values for Category , Location and Asset Key KFF Segment
5. Deploy Flex fields
6. Manage System Controls
7. Manage Fiscal Year Calendar
8. Manage Asset (Depreciation) Calendar
9. Manage Prorate Convention
10. Manage Asset Books (Corporate and Tax)
11. Manage Asset Categories
12. Manage Asset Location
13. Manage Asset Keys (Optional)
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14. Manage Depreciation method (Optional)
15. Manage Prorate Calendar
16. Manage Asset Distribution Sets
Roles to be assigned to user
1. Asset Accounting Manager
2. Asset Administrator
3. Asset Accountant
4. GL Accountant
5. GL Accountant Manager Assign Ap Roles for reviewing purpose
1. Manage Fixed Assets Flex field Value Sets
1. Category Flex field (major and minor)
We will categories the assets based up on asset nature; we can create minimum 1 and maximum 7
Create value set (Major)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
Select Manage Fixed Assets Flex fields Value Sets
Oracle never Provide seeded value sets in FA, In vision version we have but we will not have in
real time
Click on + to create value sets
Give the details and save
Save and close
Create value set (Minor)
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Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
Select Manage Fixed Assets Flex fields Value Sets
Click on + to create value set
Give the details and Validation type should be dependent ( if you give the dependent value here
below one box will appear in that give the dependent value)
Save and close
2. Location Flex field
Here location value sets will define as per client for example Country, State, City and Building.
Create value set (Country)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
Select Manage Fixed Assets Flex fields Value Sets
Click on + to create values sets
Give the details of value sets
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Save and close
Create value set (State)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
Select Manage Fixed Assets Flex fields Value Sets
Click on + to create values sets
Give the details of value sets
Save and Close
Create value set (City)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
Select Manage Fixed Assets Flex fields Value Sets
Click on + to create values sets
Give the details of value sets
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Save and close
Create value set (Building)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
Select Manage Fixed Assets Flex fields Value Sets
Click on + to create values sets
Give the details of value sets
Save and close
3. Key Flex field
It is not mandatory but will do at least one, Max 10 segment and Min 1 segment
Create value set
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% value%
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Select Manage Fixed Assets Flex fields Value Sets
Click on + to create values sets
Give the details of value sets
Save and Close
2. Manage Fixed Assets Key Flex field Structure
1. Category Flex field
Create Category structure
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Query with module or Flexfield name
Select the Category Flexfield
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Click On Manage Structures
Click on + to create structure
Give the structure details and save then you will do the further steps, in real time we should
create only one time but in this vision this is already created by someone
Click on + to create the segment
Give the segment details here you can create the Min 1 and Max 7
Click on + to add the minor segment
Give the details same as minor category
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Save and close
Save and close
2. Location Flex field
Create Location structure
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Query with module or Flexfield name
Select the Location Flexfield
Click on manage structure
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Give the segment details for state only segment label is mandatory
Save and close
Click on + add the state segment
Save and close
Click on + icon and do the remaining segments like city, building
Save and close
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Save and close
3. Key Flex filed
Create Key structure
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Query with module or Flexfield name
Select the Key Flexfield
Click on Manage Structure
Save and close
Click on + to create structure
Give the details and save then + icon (creation) of segments will highlight
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Give the details of segments
Save and close
3. Manage Key Flex field Structure Instance
1. Category Flex filed
Create Category structure instances
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Query with module or Flexfield name
Select the Category Flexfield
Click on Manage structure instances
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Click on + to create instances
Give the details and go to segment instances tab select the segment then click on edit and enable
the require option do for all segments
Save and close
2. Location Flex filed
Create Location structure instances
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Query with module or Flexfield name
Select the Location Flexfield
Click on + to create structure instances
Give the details and go to segment instances tab select the segment then click on edit and enable
the require option do for all segments
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Save and close
3. Asset Key Flex field
Create Asset key structure instances
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Query with module or Flexfield name
Select the Asset Key Flexfield
Click on + icon to crate structure instances
Give the details and go to segment instances tab select the segment then click on edit and enable
the require option do for all segments
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Save and close
4. Deploy Flex field
1. Category Flex field
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Select Category Flex field line
Then click on Deploy Flexfield
Save and close
2. Location Flex field
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
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Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Select Location Flex field line
Then click on Deploy Flexfield
Save and Close
3. Asset Key Flex field
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset%
Select Manage Fixed Assets Key Flexfiled
Select Asset key Flex field line
Then click on Deploy Flexfield
Save and Close
5. Manage Fixed Assets Flex field Value Sets (Create values)
1. Category Flex field
Create category value set values (Major)
Go to Setup & Maintenance
Setup : Financials
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Functional are : Fixed Assets
Task : %Manage% fixed% asset %value%
Select Manage Fixed Assets Flex fields Value Sets
Query the value sets
Select the Major category and click on Manage values
Click on + to create values
Give the major value details
Save and close
Create category value set values (Minor)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset %value%
Select Manage Fixed Assets Flex fields Value Sets
Query the value sets
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Select the Minor category and click on Manage values
Click on + to create minor values
Save and Close
2. Location Flex field
Create Location value set values
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset %value%
Select Manage Fixed Assets Flex fields Value Sets
Query the value sets
Select the Location Flex fields (Country) and click on Manage values
Click on Manage values
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Click on + to create values
Save and close
Likewise create the other segments like state, city, Building.
3. Asset Key Flex field
Asset Key value set values
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fixed% asset %value%
Select Manage Fixed Assets Flex fields Value Sets
Query the value sets
Select the Asset key and click on Manage values
Click on Manage values
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Click on + to create values
Save and Close
6. Manage System Controls
It controls or works at instance level, System will not create more than one
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% system% controls%
Select Manage System Controls
Give the Enterprise name
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Save and close
7. Manage Fiscal Years Calendar
It is one time setup in implementation
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% fiscal% years%
Select Manage Fiscal Years
We have fiscal year calendar in GL, still we have to create in FA
Click on + to create
Give the details and save it, then + icon will highlight in the Fiscal year tab
Click on + icon to create calendar
In fixed assets we should create the calendar beyond one year
Save and Close
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8. Manage Asset (Depreciation) Calendar
The depreciation calendar determines the number of ACCOUNTING periods in a fiscal year i.e. how many
times depreciation will need to be run. You can use one depreciation calendar for multiple depreciation
books and as both the depreciation and prorate calendar for a book. When we are creating depreciation
calendar this naming convention should be same as GL Fiscal year calendar naming convention means
both naming should be same. We never keep the adjustment month in the fixed assets. You can use this
calendar for single corporate book or N number of corporate book for single country or N number of
countries
We can define the asset
1. Daily wise
2. Weekly wise
3. Half Monthly
4. Monthly
5. Quarterly
6. Half yearly
7. Yearly
GL Fiscal Year calendar
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% asset% calendar%
Select Manage Asset Calendars
Click on + icon to create calendars
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Give the calendar details and save it then period creation icon will appear
Click on + icon to create Periods
Give the details of periods same as GL fiscal year names
And add the one future year ( As per standard functionality present year shouldn’t be the last
year, oracle always suggesting one additional year for present year for depreciation calculation
purpose)
Save and close
9. Manage Prorate Convention (Calendar)
The prorate calendar determines the number of PRORATE periods in your fiscal year. It is use full
for depreciation and it is associate with Depreciation Calendar.
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% prorate% conventions%
Select Manage Prorate Conventions
Give the details
Click on + icon to create prorate calendar dates
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If you want to create depreciation for assets for deferent methods like daily , monthly, quarterly
then you have to crate different prorate calendars
Save and close
10. Manage Asset Books
1. Corporate Book
It can define on the basis of Ledger or Legal entity; we can define multiple corporate books under one
ledger
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% books%
Select Manage Books
Click on + to create book
Give the details
o If the depreciation is day wise then Divide Depreciation is keep it as By Days
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Go to Accounts Tab and give the details
Go to the Rules tab and assign the set code as enterprise data
Save and Close
2. Tax Book
11. Manage Asset Categories
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% asset% categories%
Select Manage Asset Categories
Click on + to create categories
We shouldn’t get the values in the LOV because of our own defined structure is in inactive we
shouldn’t enable that because of structure already created in this vision version
So and query the active structure and add the our values to that structure then under LOV that
values will appear
Give the category details
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Go to books tab
Click on + icon to assign book and give the corporate book details
Go to accounts tab give the default account details for the particular asset
o We shouldn’t give the CIP account details will give only for CIP assets
o Revaluation account will give only for Buildings and premises
o One category assign to number of corporate books and number of countries
o We can add the only one corporation book while creating the category if you want to add the
different book query the category and add the book.
Go to Default rules tab and give the depreciation and life etc.. details for that particular asset
o If you give the category as buildings then disable the Depreciation field because buildings and
premises will appreciate not depreciate
Save and close
12. Manage Asset Location
Go to Setup & Maintenance
Setup : Financials
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Functional are : Fixed Assets
Task : %Manage% asset% location%
Select Manage Asset Categories
Click on + to add the location details
Save and close
13. Manage Asset Keys (Optional)
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% asset% key%
Select Manage Asset Keys
Click on + to assign key set and add the asset key
Save and close
14. Manage Depreciation method (Optional)
Oracle provided seed depreciation method; we are using the seeded methods.
Go to Setup & Maintenance
Setup : Financials
Functional are : Fixed Assets
Task : %Manage% depreciation% methods%
Select Manage Depreciation Methods
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Click on + icon to creation depreciation methods
Save and close.
1. Why multi org will do what is the need to do this
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