The Newest Certifytools 1z0-335 Dumps! 100% Pass Guarantee! (165 Q&As) Oracle. Exam Questions 1z0-335

Size: px
Start display at page:

Download "The Newest Certifytools 1z0-335 Dumps! 100% Pass Guarantee! (165 Q&As) Oracle. Exam Questions 1z0-335"

Transcription

1 Oracle Exam Questions 1z0-335 Oracle Financials Cloud: Receivables 2016 Implementation Essentials

2 1. What are the three steps required to implement the Lockbox feature? A. Set up Receipt Sources. B. Set up Receipt Classes and Receipt Methods. C. Set up Lockbox and Lockbox Transmission Formats. D. Set up late charges. E. Set up credit card refunds. Answer: A,C,E Explanation: A: You only use receipt sources with receipt and remittance batches. This includes automatic receipt batches, lockbox receipts, and receipts created via spreadsheet. C: Enter the lockbox transmission field types to use to identify the characteristics of each lockbox transmission record type. You specify the size, order, and format of each transmission record. The lockbox transmission program only validates the fields that you define in your transmission format. The transmission format must be fully compatible with how you organize data in your lockbox file. E: Use an application exception rule set to manage remaining amounts after lockbox processing. After lockbox processes and applies receipts, the AutoApply process uses the application exception rule set to determine how to manage over and under payments: If there is an overpayment, the application exception rule indicates whether to refund the amount to the customer, place the amount on account, write off the amount, or leave the amount unapplied. If there is an underpayment, the application exception rule indicates whether to allow write off of the remaining open balance amount on the transaction. Note: Use lockbox to create receipts in Oracle Fusion Receivables from data supplied by your remittance bank and apply receipts to customer transactions. The lockbox process has three steps: Import Data: Lockbox reads and formats the data from your bank file into the interim table using an SQL*Loader script. Validate Data: Receivables validates the data in the interim table for compatibility, then transfers the data to the receipts tables. Post Receipts: Apply receipts and update customer balances. Reference: Fusion Applications help, Lockbox Transmission Format Field Types 2. What three Work Areas are used to review and manage actionable items before the closing period? A. The Billing Work Area for invoicing and adjustment approval related activities B. The Receivables Balances Work Area for customer payment and credit application processing C. The Revenue Adjustments Work Area for contingencies affecting revenue recognition D. The Receivables Balances Work Area for invoicing and adjustment approval related activities. E. The Revenue Adjustments Work Area for customer payment and credit application processing. Answer: A,B,C Explanation: A: Use the Billing workarea to perform tasks related to customer billing activities. Monitor and review incomplete transactions, and approve and research pending adjustments. Use AutoInvoice to import transactions from other systems and generate invoices and credit memos automatically according to your requirements. You can easily review and correct AutoInvoice import errors and resubmit AutoInvoice. Create new invoices, debit memos, credit memos, and on-account credit memos. Perform related activities to manage your transactions: update, duplicate, credit, adjust, dispute, and preview a transaction. You can also create a new customer record and manage existing customers from the Billing workarea. B: Use the Receivables Balances workarea to perform tasks related to customer payment activities and the management of accounts receivable balances. Review actionable items, including open receipts and receipt batches, unapplied and on-account receipts and credit memos, receipt remittance batches, and funds transfer errors. C: Revenue Management Workarea Use the Revenue Management workarea to perform tasks related to revenue recognition and revenue adjustments Reference: Oracle Fusion Receivables: Overview 3. Your client s legacy system uses a hierarchical parent/child relationship to organize customer information because a single customer may have more than one bank account or payment method. Does this prevent you from using the Oracle Fusion Trading community Model import program? A. The use of parent, child, and grandchild table hierarchies is allowed only in Account Payable, not Account Receivable. B. No; the program contains parent, child, and grandchild table hierarchies to represent the hierarchy of data in the customer information.

3 C. Yes; the program specifically prohibits parent, child, and grandchild table hierarchies to represent the hierarchy of data in the customer information. D. The program allows table hierarchies for customer bank accounts, but not for other customer information. E. The program allows the use of parent, child and grandchild table hierarchies, but it requires multiple customer master records for each customer within the hierarchy. Answer: E 4. An invoice was created with unit price error on one invoice item. What is the next step you perform form the Billing Work Area to correct this error? A. Click the Create Transaction link on the task pane and create a new transaction with the right unit price. B. Click the Credit Transaction link on the task pane and create a credit memo for the transaction. C. Click the Manage Transaction link on the task pane and create a credit memo for the transaction. D. Click the Manage Adjustments link on the task pane and create an adjustment against the transaction. Answer: B Explanation: Note: How can I credit only part of the balance due on a transaction? Use the Transaction Amounts region of the Credit Transaction page to enter a partial credit amount or percentage on line, tax or freight. The amount or percentage entered is prorated across all respective lines of the credit memo. 5. Which are the two interface tables that transaction data will be imported to when using the Autoinvoice Feature? A. AR_INTERFACE_CONTS_ALL B. AR_INTERFACE_CONT_ALL C. RA_INTERFACE_SALES_ALL D. RA_INTERFACE_DISTRIBUTIONS_ALL E. RA_INTERFACE_DIST_ALL Answer: C,D Explanation: Note: AutoInvoice Gather Statistics Allowed: If you set this profile option to Yes, then when you submit AutoInvoice, the program first analyzes the interface tables (RA_INTERFACE_LINES_ALL, RA_INTERFACE_DISTRIBUTIONS_ALL, and RA_INTERFACE SALESCREDITS_ALL) and gathers statistics to determine how best to execute the transaction import. 6. Which three scenarios require a debit memo reversal? A. To reverse a miscellaneous receipt B. To reverse a receipt that has a chargeback with an adjustment against it C. To reverse a receipt with remitted credit card refund application D. To reverse Receipt A that was applied to Receipt B and where the reversal draws balance of Receipt B positive E. To reverse Receipt A that was applied to Receipt B and reversal would draw balance of Receipt B negative Answer: B,C,E Explanation: You must create a debit memo reversal under each of these circumstances: * (B) You are reversing a receipt from which you have created a chargeback, and this chargeback has had activity against it, such as another receipt, a credit memo, or an adjustment. * (C) You are reversing a receipt with a remitted credit card refund application. * (E) You are reversing a receipt (Receipt A) that was applied to another receipt (Receipt B), if the reversal would draw the balance of Receipt B negative. Reference: Fusion Applications Help, Debit Memo Reversals: Points to Consider 7. When running the delinquency process for a customer, the business unit for which you want to run the process is NOT appearing in the drop down menu. Identify the action you need to take. A. Click on the Settings button to apply the appropriate settings so that the business unit appears in the chop down menu.

4 B. Click the check box to enter the default business unit if it is NOT appearing in the drop down menu. C. Only the business units the user has access to will appear in the list of values. Modify the security options to provide access to the user. D. The business unit is NOT a required option In the Parameters tab to run the delinquency process. Answer: C 8. You have completed the period-end activities and have set the receivables period to Close Pending. Now you need to make further adjustments. What is the correct approach? A. The receivables accounting period can be re-opened when the period status is Close Pending, and last minute adjustments can be made. B. Once the receivables accounting period is set to Close Pending, it can NOT be re- opened, and NO further adjustments can be made. C. Adjustments can be made even if the receivables accounting period is set to Close Pending. D. Adjustments can be made anytime regardless of the receivables accounting period value. Answer: A Explanation: status of periods: Closed: Journal entry, posting, and transaction entry are not allowed unless the accounting period is reopened. Receivables verifies that there are no unposted items in this period. Receivables does not let you close a period that contains unposted items. Close Pending: Similar to Closed, but does not validate for Unposted items. Journal entry, posting, and transaction entry are not allowed unless the accounting period is reopened. Future: This period is not yet open, but you can enter transactions in this period. However, you cannot post in this period until you open it. Not Opened: This period has never been opened and journal entry and posting are not allowed. Open: Journal entry and posting are allowed. 9. What are the three validation steps required for implementing dispute processing? A. Transaction types are set up with appropriate Credit Memo types. B. Periods for which the transaction can be disputed are Open. C. The Document Sequencing required is set up. D. BPM Work List for approval configuration is validated. E. The Recognize Revenue program is scheduled. Answer: A,B,D Explanation: Note: * Processing a collections dispute allows the collector to record and request a dispute based on various sections of the customer's transaction. The dispute process allows the collector to select a transaction, along with the appropriate section and reason for the dispute, then submit the dispute for processing. The dispute is forwarded to the appropriate levels of approval in the BPM Worklist Credit Memo Request Approval process. If the dispute is approved, the appropriate credit memo is created automatically. You can only submit one dispute at a time. * AutoReceipts include dispute items option: Use this option on the customer or site profile to determine whether to include open items in dispute during transaction selection Reference: Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide, Processing Disputes: Overview 10. Which two determinant types are used in reference data assignment? A. Business Unit B. Account Segment C. Project Segment D. Project Unit. Answer: A,D Explanation: Determinant TypesThe partitioned reference data is shared using a business context setting called the determinant type. A determinant type is the point of reference used in the data assignment process. The following table lists the determinant types used in the reference data assignment. Determinant Type Description

5 Asset Book Information about the acquisition, depreciation, and retirement of an asset that belongs to a ledger or a business unit. Business Unit The departments or organizations within an enterprise. Cost Organization The organization used for cost accounting and reporting on various inventory and cost centers within an enterprise. Project Unit A logical organization within an enterprise that is responsible for enforcing consistent project management practices. Reference Data Set References to other shared reference data sets Which transaction will be included when selecting transactions of specified customers in the Create Balance Forward Billing Program? A. Transactions that have a Bill Type of Imported B. Transactions that were included on a previous Balance Forward Bill C. Transactions that have the selected payment terms D. Transactions that have the Print Option set to Do Not Print Answer: C Explanation: In the Trans and Customers Tab, check Show Billing Number. Once done, create a transaction with the same customer. The important point to note here is to have the transaction with the same Payment Term. The payment term should be the one attached with the Billing Cycle. Also, ensure that the transaction has the Print option (More tab) set to Print. The transactions marked with Do Not Print are not included in the Balance Forward Billing program. Incorrect: D: The transactions marked with 'Do Not Print' are not included in the Balance Forward Billing program 12. Identify two late charge interest calculation methods. A. Average Daily Balance B. Overdue Transactions C. Adjusted Balance D. Previous Balance Answer: A,B Explanation: Interest Calculation Methods You select the calculation method in the Late Charge Calculation Method field in the Credit Limits and Late Charges tab of the Customer Profile Class pages, or on the applicable customer or customer site profile. The interest calculation methods are: Average Daily Balance: Calculate late charges based on the average daily balance of overdue invoices. This method is for balance forward bills only. Late Payments Only: Calculate late charges based on the number of days between the payment due date and the actual payment date. This method uses the paid amount as the overdue invoice amount when calculating the late charge. Overdue Transactions Only: Calculate late charges for transactions based on the number of days a payment is late when you submit the Create Late Charges program. Overdue Transactions and Late Payments: Calculate late charges on both overdue transactions and late payments. This option levies the largest late charge amount on a customer. Reference: Late Charge Interest Calculation Methods: Explained 13. A few transactions have resulted in an error during the Autoinvoice import process. What should use to correct these transactions? A. Manage Transactions B. File Based Data import C. ADFDI

6 D. Incomplete Transactions Answer: A 14. You can click the manager Invoice Lines from the Billing Work Area to find Autoinvoice Exceptions. What parameters are used to summarize the exceptions for review? A. Business Unit, Transaction Type, Invoice Date, Currency B. Business Unit, Customer Name, Transaction Source, Total Amount C. Business Unit, Transaction Source, Creation Date, Currency D. Business Unit, Transaction Source, Transaction Type, Creation Date Answer: C Explanation: Reference: Fusion Applications Help, AutoInvoice Interface Table RA_INTERFACE_LINES_ALL Note 1: AutoInvoice Exception Handling Records that fail validation are called Exceptions Exceptions stay in Interface Tables which is RA_INTERFACE_ERRORS_ALL Errors can be corrected in the Exception Handling window Once corrections are made, Auto invoice must be resubmitted Records that pass validation get transferred to Receivables tables Note 2: Auto Invoice is a tool that can be used to import and validate transaction data from other financial systems from which one can create invoices, debit memos, credit memos, and on-account credits. It rejects transactions with invalid information to insure the integrity of the data 15. Which statement is TRUE regarding Time Zone Derivation Rules for Transactions? A. Time zone conversion applies to the transaction date and adjustment date and NOT the accounting date on transactions. B. Time zone is derived from the legal entity associated ONLY lo the default, business unit of the transaction. C. If there is a legal entity associated with the business unit used on the transaction, then the system date is used. D. Time zone rules apply to invoices, credit memos, on account credit memos, debit memos, chargebacks, and adjustments. Answer: D Explanation: Reference: Fusion Applications Help, Legal Entity Time Zones in Receivables: Explained 16. When discussing the Receivables, to ledger Reconciliation Report with your customer, you are asked a number of questions about how to run the report. Which statement is true? A. You can select only a Closed accounting period. B. You can include of exclude Intercompany transactions, or you can reconcile by Intercompany activity only. C. You cannot exclude on-account activities, unapplied receipts, and unidentified receipts. D. You can exclude unidentified receipts, but you cannot exclude on-account activities and unapplied receipts. Answer: B 17. What two items are required for customer invoicing? A. Lockbox B. Customers C. Remit-to address D. Customer Profile Classes Answer: B,C Explanation: B: A customer is a party, either an organization or a person, with whom you have a selling relationship. This selling relationship can result, for example, from the purchase of products and services or from the negotiation of terms and conditions that provide the basis for future purchases. You create customers to properly record and account for sales transactions, as well as to identify other attributes of the selling relationship. Recording a sales transaction requires that a customer, stored as a party in Oracle Fusion Trading Community Model, has both an account and an account site with a bill-to purpose. C: The remit-to address lets your customers know where to send payment for their open debit items. After you create a remit-to address, you can assign it to the bill-to addresses of the customers and customer sites that you designate by country and, if applicable, by region and postal code range. During the import process, AutoInvoice rejects all invoices for which it cannot determine a remit-to address. In order for AutoInvoice to import an invoice, you must

7 either define a remit-to address for the geographical location of each applicable bill-to site or define a remit-to address to use as default for one or more locations. 18. Select the valid setup that creates the revenue account distribution in the case of a debit memo reversal. A. Auto Accounting Rule for revenue line type B. Revenue Account Specified in Debit Memo transaction type C. Cash account on the receipt D. Revenue account of the original transaction to which the receipt is applied Answer: C Explanation: Reference: Debit Memo Reversals: Points to Consider, Accounting for Debit Memo Reversals 19. Where are the alerts and approvals displayed in the Collection Work Area? A. Delinquent Customer List Region B. Activities List C. Watch list D. Notification Pop-up Answer: B 20. There are a few customers that you do not want to send dunning letters to. How would you exclude these customers from dunning? A. Disable Send Dunning Letter in Transaction Type. B. Disable Send Dunning Letter on the Profile tab. C. Disable Send Dunning Letter in Collections Preferences. D. Disable Send Dunning Letter on the Correspondence tab. E. Disable Send Dunning Letter in Transaction Source Type. Answer: D

8 Powered by TCPDF ( Thank You for Trying Our Product We offer two products: 1st - We have Practice Tests Software with Actual Exam Questions 2nd - Questons and Answers in PDF Format 1z0-335 Practice Exam Features: * 1z0-335 Questions and Answers Updated Frequently * 1z0-335 Practice Questions Verified by Expert Senior Certified Staff * 1z0-335 Most Realistic Questions that Guarantee you a Pass on Your First Try * 1z0-335 Practice Test Questions in Multiple Choice Formats and Updates for 1 Year 100% Actual & Verified Instant Download, Please Click Order The 1z0-335 Practice Test Here

1z0-962.exam. Oracle. 1z Oracle Financials Cloud: Receivables 2017 Implementation Essentials. Version 1.

1z0-962.exam.   Oracle. 1z Oracle Financials Cloud: Receivables 2017 Implementation Essentials. Version 1. 1z0-962.exam Number: 1z0-962 Passing Score: 800 Time Limit: 120 min File Version: 1.0 https://www.gratisexam.com/ Oracle 1z0-962 Oracle Financials Cloud: Receivables 2017 Implementation Essentials Version

More information

Question No : 2 You have confirmed an automatic receipt in error. What is the correct method to rectify the error?

Question No : 2 You have confirmed an automatic receipt in error. What is the correct method to rectify the error? Volume: 123 Questions Question No : 1 The Billing Specialist has entered an invoice in a foreign currency. After completing the invoice she realized that she has to adjust the conversion rate on the transaction.

More information

PASS4TEST. IT Certification Guaranteed, The Easy Way! We offer free update service for one year

PASS4TEST. IT Certification Guaranteed, The Easy Way!   We offer free update service for one year PASS4TEST \ http://www.pass4test.com We offer free update service for one year Exam : 1z0-506 Title : Oracle Fusion Financials 11g Accounts Receivable Essentials Vendor : Oracle Version : DEMO Get Latest

More information

Oracle 1Z Oracle Fusion Financials 11g Accounts Receivable Essentials.

Oracle 1Z Oracle Fusion Financials 11g Accounts Receivable Essentials. Oracle 1Z0-506 Oracle Fusion Financials 11g Accounts Receivable Essentials http://killexams.com/exam-detail/1z0-506 A. Information about customers who have overdue bills B. Tasks assigned to the Collector,

More information

Oracle Financials Cloud Implementing Receivables Credit to Cash

Oracle Financials Cloud Implementing Receivables Credit to Cash Oracle Financials Cloud Implementing Receivables Credit to Cash Release 9 This guide also applies to on-premise implementations Oracle Financials Cloud Part Number E55641-02 Copyright 2011-2015, Oracle

More information

Oracle R12 Accounts Receivable

Oracle R12 Accounts Receivable Oracle R12 Accounts Receivable 1 days training for 495 exc. VAT Oracle R12 Accounts Receivable Course Overview The Oracle R12 Accounts Receivable course is designed to give delegates practical experience

More information

ITCertMaster. Safe, simple and fast. 100% Pass guarantee! IT Certification Guaranteed, The Easy Way!

ITCertMaster.   Safe, simple and fast. 100% Pass guarantee! IT Certification Guaranteed, The Easy Way! ITCertMaster Safe, simple and fast. 100% Pass guarantee! http://www.itcertmaster.com Exam : 1z1-335 Title : Oracle Financials Cloud: Receivables 2016 Implementation Essentials Vendor : Oracle Version :

More information

Oracle Financials Cloud Using Receivables Credit to Cash

Oracle Financials Cloud Using Receivables Credit to Cash Oracle Financials Cloud Using Receivables Credit to Cash Release 9 This guide also applies to on-premise implementations Oracle Financials Cloud Part Number E53173-01 Copyright 2011-2014, Oracle and/or

More information

Oracle. Financials Cloud Implementing Receivables Credit to Cash. Release 13 (update 17D)

Oracle. Financials Cloud Implementing Receivables Credit to Cash. Release 13 (update 17D) Oracle Financials Cloud Implementing Receivables Credit to Cash Release 13 (update 17D) Release 13 (update 17D) Part Number E88948-02 Copyright 2011-2017, Oracle and/or its affiliates. All rights reserved.

More information

Key Business Questions (tied to the key business questions from the primary Fusion navigation page)

Key Business Questions (tied to the key business questions from the primary Fusion navigation page) Subject Area Name Subject Area Description Key Business Questions (tied to the key business questions from the primary Fusion navigation page) Primary Fusion Navigation Historical Reporting (/) Dimension

More information

Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide. 11g Release 1 (11.1.2) Part Number E

Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide. 11g Release 1 (11.1.2) Part Number E Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide 11g Release 1 (11.1.2) Part Number E22896-02 August 2011 Oracle Fusion Applications Order Fulfillment, Receivables,

More information

Oracle. Financials Cloud Using Financials for EMEA. Release 13 (update 17D)

Oracle. Financials Cloud Using Financials for EMEA. Release 13 (update 17D) Oracle Financials Cloud Release 13 (update 17D) Release 13 (update 17D) Part Number E89164-01 Copyright 2011-2017, Oracle and/or its affiliates. All rights reserved. Authors: Asra Alim, Vrinda Beruar,

More information

Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide. 11g Release 7 (11.1.7) Part Number E

Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide. 11g Release 7 (11.1.7) Part Number E Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide 11g Release 7 (11.1.7) Part Number E22896-08 January 2013 Oracle Fusion Applications Order Fulfillment,

More information

Oracle 1Z Oracle Fusion Financials 11g Accounts Payable Essentials. Download Full Version :

Oracle 1Z Oracle Fusion Financials 11g Accounts Payable Essentials. Download Full Version : Oracle 1Z0-507 Oracle Fusion Financials 11g Accounts Payable Essentials Download Full Version : http://killexams.com/pass4sure/exam-detail/1z0-507 C. Payables Balance Analysis Duty D. Business Intelligence

More information

Oracle 1Z Oracle Financials Cloud: Receivables 2016 Implementation Essentials.

Oracle 1Z Oracle Financials Cloud: Receivables 2016 Implementation Essentials. Oracle 1Z0-335 Oracle Financials Cloud: Receivables 2016 Implementation Essentials http://killexams.com/exam-detail/1z0-335 QUESTION: 159 Your customer has a state tax of 20% and a city tax of 10% as non-inclusive

More information

Microsoft Dynamics GP Payable Management. Series GP 2018

Microsoft Dynamics GP Payable Management. Series GP 2018 Microsoft Dynamics GP Payable Management Series GP 2018 Contents Course Objectives 7 Payables Management Setup 11 1.1 Payables Management Setup 15 1.2 Payables Setup Options 21 1.3 Creditor Class Maintenance

More information

Microsoft Dynamics GP. Receivables Management

Microsoft Dynamics GP. Receivables Management Microsoft Dynamics GP Receivables Management Copyright Copyright 2012 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document,

More information

X-Charge Credit Card Processing

X-Charge Credit Card Processing X-Charge Credit Card Processing OpenEdge (Formerly X-Charge) Payment Processing Setup... 1 Setting Permissions for Credit Card Processing... 1 Setting Up X-Charge Payment Processing in SuccessWare 21...

More information

AR324: Maintaining and Updating Receivables. Instructor Led Training

AR324: Maintaining and Updating Receivables. Instructor Led Training AR324: Maintaining and Updating Receivables Instructor Led Training Lesson 1: Understanding Receivables Maintenance Introduction Welcome Welcome to Cardinal Training! This training provides employees with

More information

Oracle Fusion Applications Asset Lifecycle Management, Assets Guide. 11g Release 6 (11.1.6) Part Number E

Oracle Fusion Applications Asset Lifecycle Management, Assets Guide. 11g Release 6 (11.1.6) Part Number E Oracle Fusion Applications Asset Lifecycle Management, Assets Guide 11g Release 6 (11.1.6) Part Number E22894-06 September 2012 Oracle Fusion Applications Asset Lifecycle Management, Assets Guide Part

More information

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central Version 1.0.1.0 Setup and User Manual For Microsoft Dynamics 365 Business Central Last Update: October 26, 2018 Contents Description... 4 Features... 4 Cash Basis versus Accrual Basis Accounting... 4 Cash

More information

Oracle. Financials Cloud Implementing Tax. Release 13 (update 17D)

Oracle. Financials Cloud Implementing Tax. Release 13 (update 17D) Oracle Financials Cloud Release 13 (update 17D) Release 13 (update 17D) Part Number E89160-01 Copyright 2011-2017, Oracle and/or its affiliates. All rights reserved. Authors: Mary Kalway, Asra Alim, Reshma

More information

Oracle Fusion Applications Asset Lifecycle Management, Assets Guide. 11g Release 5 (11.1.5) Part Number E

Oracle Fusion Applications Asset Lifecycle Management, Assets Guide. 11g Release 5 (11.1.5) Part Number E Oracle Fusion Applications Asset Lifecycle Management, Assets Guide 11g Release 5 (11.1.5) Part Number E22894-05 June 2012 Oracle Fusion Applications Asset Lifecycle Management, Assets Guide Part Number

More information

Oracle. Financials Cloud Using Assets. Release 13 (update 17D)

Oracle. Financials Cloud Using Assets. Release 13 (update 17D) Oracle Financials Cloud Release 13 (update 17D) Release 13 (update 17D) Part Number E89150-01 Copyright 2011-2017, Oracle and/or its affiliates. All rights reserved. Author: Gail D'Aloisio This software

More information

MB6-895.exam.41q. Microsoft MB Financial Management in Microsoft Dynamics 365 for Finance and Operations

MB6-895.exam.41q. Microsoft MB Financial Management in Microsoft Dynamics 365 for Finance and Operations MB6-895.exam.41q Number: MB6-895 Passing Score: 800 Time Limit: 120 min File Version: 1 Microsoft MB6-895 https://www.gratisexam.com/ Financial Management in Microsoft Dynamics 365 for Finance and Operations

More information

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger ACS YEAR-END FREQUENTLY ASKED QUESTIONS This document includes answers to frequently asked questions about the following ACS modules: General Ledger Payroll Accounts Payable Accounts Receivable General

More information

Oracle. Financials Cloud Implementing Tax. Release 13 (update 18B)

Oracle. Financials Cloud Implementing Tax. Release 13 (update 18B) Oracle Financials Cloud Release 13 (update 18B) Release 13 (update 18B) Part Number E94349-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Naini Khajanchi, Mary Kalway,

More information

Oracle Fusion Applications Financial Control and Reporting, Accounting Transactions, Tax Transactions, and Reporting Guide

Oracle Fusion Applications Financial Control and Reporting, Accounting Transactions, Tax Transactions, and Reporting Guide Oracle Fusion Applications Financial Control and Reporting, Accounting Transactions, Tax Transactions, and Reporting Guide 11g Release 1 (11.1.3) Part Number E22895-03 December 2011 Oracle Fusion Applications

More information

PeopleSoft Receivables Rel 9.2

PeopleSoft Receivables Rel 9.2 Oracle University Contact Us: 1.800.529.0165 PeopleSoft Receivables Rel 9.2 Duration: 5 Days What you will learn This PeopleSoft Receivables Rel 9.2 course provides step-by-step instructions for working

More information

Solar Eclipse Accounts Receivable. Release 9.0.3

Solar Eclipse Accounts Receivable. Release 9.0.3 Solar Eclipse Accounts Receivable Release 9.0.3 Disclaimer This document is for informational purposes only and is subject to change without notice. This document and its contents, including the viewpoints,

More information

This Page Intentionally Left Blank

This Page Intentionally Left Blank This Page Intentionally Left Blank SedonaOffice Page 2 of 21 Table of Contents Accounts Receivable Overview... 4 Aging Categories (Buckets) and Aging... 5 Aging Categories (Buckets)... 5 Aging Method...

More information

Golden Tax Adaptor for China

Golden Tax Adaptor for China ERP CLOUD Golden Tax Adaptor for China Oracle Financials for Asia Pacific Table of Contents 1. Purpose of the document... 2 2. Assumptions and Prerequisites... 3 3. Feature Specific Setup... 3 Financial

More information

E-Remittance How-to EMPLOYER REPORTING INSTRUCTIONS

E-Remittance How-to EMPLOYER REPORTING INSTRUCTIONS When remitting your contributions electronically (E-Remit), you will be asked to complete several steps to make sure the information submitted meets pension plan standards. Before you begin, it might be

More information

Reference Document. Customer Refunds

Reference Document. Customer Refunds Document Overview This document is being provided to explain how to generate a refund check to a customer. This document explains the process, setup involved and how the transaction affects the general

More information

Guide to Credit Card Processing

Guide to Credit Card Processing CBS ACCOUNTS RECEIVABLE Guide to Credit Card Processing version 2007.x.x TL 25476 (07/27/12) Copyright Information Text copyright 1998-2012 by Thomson Reuters. All rights reserved. Video display images

More information

Closing and Reconciling Oracle Receivables - Release 12 (and 11i)

Closing and Reconciling Oracle Receivables - Release 12 (and 11i) Closing and Reconciling Oracle Receivables - Release 12 (and 11i) Cathy Cakebread Independent Consultant Introduction Your close needs to be quick, accurate and reliable. With a clear and consistent process

More information

ShelbyNext Financials: General Ledger Best Practices

ShelbyNext Financials: General Ledger Best Practices ShelbyNext Financials: General Ledger Best Practices (Course #F213) Presented by: Dave Heston Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

Release Please distribute to all Spectra users in your company.

Release Please distribute to all Spectra users in your company. Release 8.2.0 DECEMBER 2018 Please distribute to all Spectra users in your company. Support Email: support@spectra.ca Visit us online at: www.spectra.ca Support Telephone: (866) 718-2345 Support Fax: (866)

More information

CHAPTER 2: GENERAL LEDGER

CHAPTER 2: GENERAL LEDGER Chapter 2: General Ledger CHAPTER 2: GENERAL LEDGER Objectives Introduction The objectives are: Explain the use of the Chart of Accounts in Microsoft Dynamics NAV 5.0. Explain the elements of the G/L Account

More information

How to Journalize using Data Entry

How to Journalize using Data Entry Steps Essential to Success 1. Print a copy of the Problem you intend to complete. To do so, go to the software log-in page and click on Download Student Manual button, click on the Problem to open it.

More information

Sage Tax Services User's Guide

Sage Tax Services User's Guide Sage 300 2017 Tax Services User's Guide This is a publication of Sage Software, Inc. Copyright 2016. Sage Software, Inc. All rights reserved. Sage, the Sage logos, and the Sage product and service names

More information

Sage Bank Services User's Guide. May 2017

Sage Bank Services User's Guide. May 2017 Sage 300 2018 Bank Services User's Guide May 2017 This is a publication of Sage Software, Inc. 2017 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product and service

More information

Introduction to Client Online

Introduction to Client Online Introduction to Client Online Trade Finance Guide TradeFinanceNewClientsV2Sept15 Contents Introduction 3 Welcome to your introduction to Client Online 3 If you have any questions 3 Logging In 4 Welcome

More information

Oracle Project Portfolio Management Cloud Using Project Performance Reporting

Oracle Project Portfolio Management Cloud Using Project Performance Reporting Oracle Project Portfolio Management Cloud Using Project Performance Reporting Release 9 This guide also applies to on-premise implementations Oracle Project Portfolio Management Cloud Part Number E53157-01

More information

Basic Application Training

Basic Application Training Basic Application Training Class Manual 99.273 The documentation in this publication is provided pursuant to a Sales and Licensing Contract for the Prophet 21 System entered into by and between Prophet

More information

Hertha Longo, CSA Matt Wade

Hertha Longo, CSA Matt Wade Hertha Longo, CSA Matt Wade Census and financial forecasting tool to assist religious institutes in decision-making and planning for the future Available on CD for purchase by religious institutes only

More information

Sage Bank Services User's Guide

Sage Bank Services User's Guide Sage 300 2017 Bank Services User's Guide This is a publication of Sage Software, Inc. Copyright 2016. Sage Software, Inc. All rights reserved. Sage, the Sage logos, and the Sage product and service names

More information

Oracle. Financials Cloud Using Tax. Release 13 (update 18B)

Oracle. Financials Cloud Using Tax. Release 13 (update 18B) Oracle Financials Cloud Release 13 (update 18B) Release 13 (update 18B) Part Number E94376-02 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Naini Khajanchi, Mary Kalway,

More information

CHAPTER 8: PERIOD-END PROCEDURES

CHAPTER 8: PERIOD-END PROCEDURES Chapter 8: Period-End Procedures CHAPTER 8: PERIOD-END PROCEDURES Training Objectives Actively participating in this chapter helps you: Understand the procedures that are completed at the end of an accounting

More information

Oracle Financials Cloud Using Financials for Asia/Pacific. Release 13 (update 18C)

Oracle Financials Cloud Using Financials for Asia/Pacific. Release 13 (update 18C) Release 13 (update 18C) Release 13 (update 18C) Part Number E98438-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Asra Alim, Vrinda Beruar, Barbara Kostelec, Robert

More information

Oracle. Financials Cloud Using Assets. Release 13 (update 18A)

Oracle. Financials Cloud Using Assets. Release 13 (update 18A) Oracle Financials Cloud Release 13 (update 18A) Release 13 (update 18A) Part Number E92169-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Author: Gail D'Aloisio This software

More information

Introduction to Client Online

Introduction to Client Online Introduction to Client Online Bibby Factors International Guide 1 InternationalFactoringNewClientBibbyUKopsSept15 Introduction 3 Logging In 5 Welcome Screen 6 Navigation 7 Viewing Your Account 9 Invoice

More information

NextGen Trustee Receipting

NextGen Trustee Receipting NextGen Trustee Receipting This class will cover Miscellaneous and Property Tax receipting. We will review the receipting processes as well as how to properly handle corrections for receipts entered with

More information

Introduction to Client Online

Introduction to Client Online Introduction to Client Online Construction Finance Guide ConstructionFinanceNewClientsV2Sept15 Contents Introduction 3 Welcome to your introduction to Client Online 3 If you have any questions 3 Logging

More information

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central Version 1.0.0.0 Setup and User Manual For Microsoft Dynamics 365 Business Central Last Update: September 6, 2018 Contents Description... 4 Features... 4 Cash Basis versus Accrual Basis Accounting... 4

More information

Oracle Communications Billing and Revenue Management

Oracle Communications Billing and Revenue Management Oracle Communications Billing and Revenue Management Managing Accounts Receivable Release 7.4 E25079-01 March 2013 Oracle Communications Billing and Revenue Management Managing Accounts Receivable, Release

More information

Question: 1 Which two statements would be true when helping a customer make implementation decisions for General Ledger?

Question: 1 Which two statements would be true when helping a customer make implementation decisions for General Ledger? Question: 1 Which two statements would be true when helping a customer make implementation decisions for General Ledger? A - Integration issues can be minimized B - Cost of upgrades would not be affected

More information

Oracle Applications. Fixed Assets. White Paper. GreenChain Software Solutions Pvt Ltd. Release

Oracle Applications. Fixed Assets. White Paper. GreenChain Software Solutions Pvt Ltd. Release Oracle Applications Release12.1.1 Fixed Assets White Paper GreenChain Software Solutions Pvt Ltd www.greenchain.biz GreenChain Software Solutions Pvt Ltd Page 1 of 102 Table of Contents 1 APPLICATION SETUP...

More information

60.2 Deposit and Apply Receipts

60.2 Deposit and Apply Receipts This document is a draft and subject to change Date: 03/14/2019 Revision: DRAFT Table of Contents Table of Contents... 2 Business Process Name... 3 General Information... 3 Dependencies and Constraints...

More information

Propertyware epayments. Powered by RealPage

Propertyware epayments. Powered by RealPage Propertyware epayments Powered by RealPage Page i Copyrights 2002-2011 Propertyware, Inc. All rights reserved. No part of this publication may be reproduced, transmitted or stored in any archives without

More information

FAP R12 Upgrade project. R12 AR Training 19 August-2016

FAP R12 Upgrade project. R12 AR Training 19 August-2016 FAP R12 Upgrade project R12 AR Training 19 August-2016 Agenda Key Processes From AR Transactions - Sale & Non Sale Invoice / Credit Memo / Debit Memo Receipts Standard & Misc. Receipt Application on Transaction

More information

Oracle Fusion Applications Project Management, Project Performance Reporting Guide. 11g Release 1 (11.1.3) Part Number E

Oracle Fusion Applications Project Management, Project Performance Reporting Guide. 11g Release 1 (11.1.3) Part Number E Oracle Fusion Applications Project Management, Project Performance Reporting Guide 11g Release 1 (11.1.3) Part Number E22601-03 December 2011 Oracle Fusion Applications Project Management, Project Performance

More information

The Chart of Accounts can be modified at any time. Existing accounts can be modified and new accounts can be added.

The Chart of Accounts can be modified at any time. Existing accounts can be modified and new accounts can be added. Chart of Accounts Maintenance Overview The Chart of Accounts can be modified at any time. Existing accounts can be modified and new accounts can be added. Navigate to: General Ledger>Maintenance>General>Chart

More information

CSG Vantage Plus User s Guide. Version 2.0

CSG Vantage Plus User s Guide. Version 2.0 CSG Vantage Plus User s Guide Version 2.0 Release Date: December 2003 This material is presented to explain the features and functions of CSG System s (CSG s) standard, off-the-shelf products and services.

More information

Oracle 1Z Oracle EBS R12.1 Payables Essentials.

Oracle 1Z Oracle EBS R12.1 Payables Essentials. Oracle 1Z0-517 Oracle EBS R12.1 Payables Essentials http://killexams.com/pass4sure/exam-detail/1z0-517 Question: 765 After creating a number of Financial Statement Generator reports, ABC.com wants a list

More information

Contract Receivables System AR-1128

Contract Receivables System AR-1128 Contract Receivables System AR-1128 Overview This Extended Solution to the Accounts Receivable module provides a simple way to track information on loans outstanding. In addition, it provides a method

More information

ShelbyNext Financials: Credit Card Tracking

ShelbyNext Financials: Credit Card Tracking ShelbyNext Financials: Credit Card Tracking (Course #F211) Presented by: Dave Heston Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of

More information

Enterprise by HansaWorld Accounting Basic

Enterprise by HansaWorld Accounting Basic Enterprise by HansaWorld Accounting Basic Version 7.2, Mac OS X August 2014 Table of Contents INTRODUCTION...4 Bookkeeping...4 Single Entry / Double Entry...4 Chart of accounts...4 The five types of accounts...4

More information

07/21/2016 Blackbaud CRM 4.0 Revenue US 2016 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form

07/21/2016 Blackbaud CRM 4.0 Revenue US 2016 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form Revenue Guide 07/21/2016 Blackbaud CRM 4.0 Revenue US 2016 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical,

More information

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification INTUIT PROA DVISOR PR O G RAM QuickBooks Desktop Certification Getting Started Guide Table of Contents TABLE OF CONTENTS QuickBooks ProAdvisor Training Objectives... 1 What s in the Workbook?... 2 Chapter

More information

MUNSOFT 5.2 INCOME: SUNDRY DEBTORS MANUAL. Y Walters B.Sc. (Math Science) Hons

MUNSOFT 5.2 INCOME: SUNDRY DEBTORS MANUAL. Y Walters B.Sc. (Math Science) Hons MUNSOFT 5.2 INCOME: SUNDRY DEBTORS MANUAL 1 Y Walters B.Sc. (Math Science) Hons SUNDRY DEBTORS... 4 Enquiries... 4 Sundry Enquiries... 4 Account Search... 5 Master Files... 6 Account Master... 6 Account

More information

Oracle Financials Cloud Implementing Financials for Asia/ Pacific. Release 13 (update 18C)

Oracle Financials Cloud Implementing Financials for Asia/ Pacific. Release 13 (update 18C) Implementing Financials for Asia/ Pacific Release 13 (update 18C) Release 13 (update 18C) Part Number E98429-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Asra Alim,

More information

STUDIO DESIGNER. Accounting 2 Participant

STUDIO DESIGNER. Accounting 2 Participant Accounting 2 Participant Thank you for enrolling in Accounting 2 for Studio Designer. Please feel free to ask questions as they arise. If we start running short on time, we may hold off on some of them

More information

MYOB Exo Business. EOFY Good Practice Guide

MYOB Exo Business. EOFY Good Practice Guide MYOB Exo Business EOFY Good Practice Guide Momentum Software Solutions support@momentumss.com.au Momentum provide Support for all MYOB EXO Business and Employer Services modules Level 5, Ocean Central,

More information

Cash Register Software Release ivue 1.6 Patch 1 March 2005

Cash Register Software Release ivue 1.6 Patch 1 March 2005 Frameworks Install/Update Alerts Added the functionality to display Installment Loans alerts. (CR 113372) Launcher Replaced the current Cash Register (CR) Launcher icon with a new icon and changed the

More information

The values within the DMS can be held as consolidated totals if required, as any individual items can be extracted from the Service Plan System.

The values within the DMS can be held as consolidated totals if required, as any individual items can be extracted from the Service Plan System. VERSION 3.1.1 The principle idea of the accounting system is to mirror the balance sheet values held within the edynamix Service Plan system with those held on the Dealer Management System (DMS) balance

More information

Participation Lending

Participation Lending Participation Lending FHLB Secondary Market Loan Servicing CU*BASE Lending Tools Rev. October 19, 2018 CU*BASE is a registered trademark of CU*Answers, Inc. For an updated copy of this booklet, check out

More information

Entering Cash Receipts

Entering Cash Receipts 1 Customers: Using CounterPoint Entering Cash Receipts Overview Cash receipts are entered when payments are received on customer accounts. This document explains how to enter cash receipts using Customers

More information

Sage (UK) Limited Copyright Statement

Sage (UK) Limited Copyright Statement Sage (UK) Limited Copyright Statement Sage (UK) Limited, 2011. All rights reserved We have written this guide to help you to use the software it relates to. We hope it will be read by and helpful to lots

More information

MYOB Support Note. Receivables Reconciliation

MYOB Support Note. Receivables Reconciliation MYOB Support Note Receivables Reconciliation Receivables Reconciliation This support notes are suitable for: MYOB Accounting MYOB Premier MYOB BusinessBasics Run the Receivables exception report found

More information

Livestock Office Native Accounting

Livestock Office Native Accounting Livestock Office Native Accounting 12/04/2017 Contents Native Accounting... 2 General Ledger... 3 G/L Codes... 3 G/L Code Budgets... 4 G/L Tree... 5 G/L Journals... 6 Bank Accounts... 7 Bank Statements...

More information

Sage Payment Processing User's Guide. March 2018

Sage Payment Processing User's Guide. March 2018 Sage 300 2017 Payment Processing User's Guide March 2018 This is a publication of Sage Software, Inc. 2017 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product and

More information

Oracle CRL-Financials Enabled Projects

Oracle CRL-Financials Enabled Projects Oracle CRL-Financials Enabled Projects Concepts and Procedures Release 11i April 2000 Part No. A83646-01 Expenditures This topic group provides: A description of new or modified tasks A description of

More information

PayBiz Direct Debits

PayBiz Direct Debits PayBiz Direct Debits 3/08/2017 Contents Direct Debits... 2 Debtor Setup... 2 Company Setup... 3 Batch Direct Debits... 4 Create the Direct Debit Export File... 5 Direct Debits Debtors (customers) can be

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY18 June 20, 2018 Information Technology Understanding the Accrual Process The goal of year-end accrual process is to recognize revenues and expenses in the period in

More information

Oracle Utilities Customer Care and Billing

Oracle Utilities Customer Care and Billing Oracle Utilities Customer Care and Billing Administration Guide Volume 1 Release 2.3.1 E18368-01 September 2010 Oracle Utilities Customer Care and Billing Administration Guide E18368-01 Copyright 2000,

More information

MMF Investment Policy Management

MMF Investment Policy Management MMF Investment Policy Management Citibank Online Investments Transaction Services MMF Investment Policy Management Table of Contents Table of Contents Money Market Funds Investment Policy Management...2

More information

Non-Grant Billing and Receivables User Training Session 3

Non-Grant Billing and Receivables User Training Session 3 Non-Grant Billing and Receivables User Training Session 3 August 2018 R E V I S I O N H I S T O R Y Version Date 1.0 Document Created Paulette King 08/20/2018 Page 1 of 15 TABLE OF CONTENTS REVISION HISTORY...

More information

Accounts Receivable- Grants. Niketta Jones

Accounts Receivable- Grants. Niketta Jones Finance Division Compass Accounts Receivable- Grants Niketta Jones Welcome & Introductions About me What have you heard about 9.2? 2 Accessing your Training Support Materials Access your training calendar

More information

Setting up and using the accounting module will give you detailed accounting and financial reporting.

Setting up and using the accounting module will give you detailed accounting and financial reporting. CHAPTER 6 ACCOUNTING To get the most out of the financial aspects of Campground Manager Astra, you should set up the Accounting module using either Cash Basis or Accrual Accounting depending on the method

More information

Epicor Tax Connect for Eclipse. Release 9.0.3

Epicor Tax Connect for Eclipse. Release 9.0.3 Epicor Tax Connect for Eclipse Release 9.0.3 Disclaimer This document is for informational purposes only and is subject to change without notice. This document and its contents, including the viewpoints,

More information

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice Reference Guide For Versions 5.7.24+ Last Revised: December 29, 2015 SedonaOffice 8401 Chagrin Blvd. Suite 15B 45185 Joy Road Chagrin Falls, OH 44023 Canton, MI 48187 440.247.5602 Table of Contents About

More information

Payment Center Quick Start Guide

Payment Center Quick Start Guide Payment Center Quick Start Guide Self Enrollment, Online Statements and Online Payments Bank of America Merrill Lynch May 2014 Notice to Recipient This manual contains proprietary and confidential information

More information

MYOB EXO Business. EOFY Good Practice

MYOB EXO Business. EOFY Good Practice MYOB EXO Business EXO Training EOFY Good Practice Momentum Software Solutions support@momentumss.com.au Momentum provide Support for all MYOB EXO Business and Employer Services modules Suite 22, Ocean

More information

Tax Reporting for Germany

Tax Reporting for Germany Tax Reporting for Germany ERP CLOUD Fusion Financials for EMEA Table of Contents 1. Purpose of the document... 2 2. Assumptions and prerequisites... 2 3. Feature Specific Setup... 3 Payment Reasons for

More information

Expedient User Manual Banking Module

Expedient User Manual Banking Module Volume 5 Expedient User Manual Banking Module Gavin Millman & Associates (Aust) Pty Ltd 281 Buckley Street Essendon VIC 3040 Phone 03 9331 3944 Web www.expedientsoftware.com.au Table of Contents Debtor

More information

Managing Global Asset Transfers. (Oracle EBS Assets)

Managing Global Asset Transfers. (Oracle EBS Assets) Managing Global Asset Transfers (Oracle EBS Assets) High-Level Overview Transfer Process (Current) Asset Identification Asset Documentation Asset Retirement Asset Translation Calculation Translation Rate

More information

Microsoft MB Great Plains 8.0 Financials.

Microsoft MB Great Plains 8.0 Financials. Microsoft MB3-216 Great Plains 8.0 Financials http://killexams.com/exam-detail/mb3-216 QUESTION: 287 Which option on the menu bar should be selected if you want to mark a group of consecutive documents

More information

Expense: Workflow Cost Object Approval

Expense: Workflow Cost Object Approval Expense: Workflow Cost Object Approval Setup Guide Applies to these SAP Concur solutions: Expense Professional/Premium edition Standard edition Travel Professional/Premium edition Standard edition Invoice

More information

Processing Customer Credit Memos and Refunds

Processing Customer Credit Memos and Refunds Processing Customer Credit Memos and Refunds If a job completed for a customer requires the processing of a refund or credit you can create a credit memo for the customer that will be reflected on the

More information