<?xml version='1.0' encoding='UTF-8'?><?xml-stylesheet href="http://www.blogger.com/styles/atom.css" type="text/css"?><feed xmlns='http://www.w3.org/2005/Atom' xmlns:openSearch='http://a9.com/-/spec/opensearchrss/1.0/' xmlns:georss='http://www.georss.org/georss' xmlns:gd='http://schemas.google.com/g/2005' xmlns:thr='http://purl.org/syndication/thread/1.0'><id>tag:blogger.com,1999:blog-51044913973242142</id><updated>2011-12-27T22:23:51.871+05:30</updated><title type='text'>Oracle Applications Functional (Finance) 11i and R12</title><subtitle type='html'>Specially For Job Seekers and Beginners...by Cnubandi</subtitle><link rel='http://schemas.google.com/g/2005#feed' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/posts/default'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default?max-results=100'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/'/><link rel='hub' href='http://pubsubhubbub.appspot.com/'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><generator version='7.00' uri='http://www.blogger.com'>Blogger</generator><openSearch:totalResults>29</openSearch:totalResults><openSearch:startIndex>1</openSearch:startIndex><openSearch:itemsPerPage>100</openSearch:itemsPerPage><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-799473505487318497</id><published>2011-03-22T01:08:00.000+05:30</published><updated>2011-03-22T01:08:39.765+05:30</updated><title type='text'>Retirement of Oracle Application Implementation Method (AIM)</title><content type='html'>AIM is going to retire by this month ............Please go through the below link for complete information&lt;br /&gt;&lt;br /&gt;&lt;a href="http://www.oracle.com/partners/campaign/eblasts/retirement-aim-adv-bus-flows-185418.html"&gt;Retirement of Oracle Application Implementation Method (AIM) &lt;/a&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-799473505487318497?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/799473505487318497/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=799473505487318497&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/799473505487318497'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/799473505487318497'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2011/03/retirement-of-oracle-application.html' title='Retirement of Oracle Application Implementation Method (AIM)'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-6087629952474588768</id><published>2011-02-13T23:50:00.000+05:30</published><updated>2011-02-13T23:50:15.268+05:30</updated><title type='text'>R12 Features</title><content type='html'>&lt;span style="color: blue;"&gt;Release12 introduces a better user experience, resulting in increased productivity and reduced training and support. &lt;/span&gt;&lt;br /&gt;&lt;br /&gt;&lt;span style="color: red;"&gt;&lt;b&gt;Examples of a better user experience include:&lt;/b&gt; &lt;/span&gt;&lt;br /&gt;&lt;br /&gt;1.Reduced pop-ups and duplicate screens &lt;br /&gt;&lt;br /&gt;2.Re-designed and streamlined entire work flows &lt;br /&gt;&lt;br /&gt;3.Reduced the number of steps to complete key tasks&lt;br /&gt;&lt;br /&gt;4.Improved look &amp;amp; feel and visual style &lt;br /&gt;&lt;br /&gt;5.Increased personalization capabilities &lt;br /&gt;&lt;br /&gt;6.Lower Costs&lt;br /&gt;&lt;br /&gt;7.Fewer errors and&lt;br /&gt;&lt;br /&gt;8.Stronger Internal Controles&lt;br /&gt;&lt;br /&gt;&lt;b&gt;Whats New in Release 12&lt;/b&gt;&lt;br /&gt;Ledgers and Ledger Sets &lt;br /&gt;Legal Entity Configurator &lt;br /&gt;Rules-based Accounting Engine &lt;br /&gt;Global Tax Engine &lt;br /&gt;Global IntercompanySystem &lt;br /&gt;Unified Bank Account Model &lt;br /&gt;Single Sign-On Across Operating Units&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-6087629952474588768?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/6087629952474588768/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=6087629952474588768&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6087629952474588768'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6087629952474588768'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2011/02/r12-features.html' title='R12 Features'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-5195517717814185077</id><published>2008-04-14T13:00:00.001+05:30</published><updated>2008-05-08T23:41:27.268+05:30</updated><title type='text'>Period closing Process  for Payables</title><content type='html'>&lt;strong&gt;Period closing Process  for Payables&lt;/strong&gt;&lt;br /&gt;You cannot close a period in Payables if any of the following conditions exist:&lt;br /&gt;o Outstanding payment batches. Confirm or cancel all incomplete payment batches. &lt;br /&gt;o Future dated payments for which the Maturity Date is within the period but that still have a status of Issued. &lt;br /&gt;o Unaccounted transactions. Submit the Payables Accounting Process to account for transactions, or submit the Unaccounted Transaction Sweep to move any remaining unaccounted transactions from one period to another. &lt;br /&gt;o Accounted transactions that have not been transferred to general ledger. Submit the Payables Transfer to General Ledger process to transfer accounting entries. &lt;br /&gt;&lt;br /&gt;To complete the close process in Payables:&lt;br /&gt;1. Validate all invoices.&lt;br /&gt;Run Invoice Validation Concurrent program.&lt;br /&gt;2. Confirm or cancel all incomplete payment batches. &lt;br /&gt;&lt;br /&gt;3. If you use future dated payments, submit the Update Matured Future Dated Payment Status Program. This will update the status of matured future dated payments to Negotiable so you can account for them.&lt;br /&gt;&lt;br /&gt;4. Resolve all unaccounted transactions.&lt;br /&gt;Submit the Payables Accounting Process to account for all unaccounted transactions. Review the Unaccounted Transactions Report. Review any unaccounted transactions and correct data as necessary. &lt;br /&gt;&lt;br /&gt;Then resubmit the Payables Accounting Process to account for transactions you corrected. Or move any unresolved accounting transaction exceptions to another period (optional). &lt;br /&gt;o Payables Accounting Process.&lt;br /&gt;o Submit the Unaccounted Transactions Sweep Program.&lt;br /&gt;5. Transfer invoices and payments to the General Ledger and resolve any problems you see on the output report:&lt;br /&gt;o Payables Transfer to General Ledger Program.&lt;br /&gt;6. In the Control Payables Periods window, close the period in Payables.&lt;br /&gt;o Controlling the Status of Payables Periods.&lt;br /&gt;7. Reconcile Payables activity for the period. You will need the following reports:&lt;br /&gt;o Accounts Payable Trial Balance Report (this period and last period).&lt;br /&gt;o Posted Invoice Register.&lt;br /&gt;o Posted Payment Register.&lt;br /&gt;8. If you use Oracle Purchasing, accrue uninvoiced receipts. &lt;br /&gt;&lt;br /&gt;9. If you use Oracle Assets, run the Mass Additions Create Program transfer capital invoice line distributions from Oracle Payables to Oracle Assets. &lt;br /&gt;&lt;br /&gt;10. Post journal entries to the general ledger and reconcile the trial balance to the General Ledger.&lt;br /&gt;&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/SCNCIbwd3sI/AAAAAAAAAJM/39sdzWU1nmg/s1600-h/untitled.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/SCNCIbwd3sI/AAAAAAAAAJM/39sdzWU1nmg/s320/untitled.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5198071107573112514" /&gt;&lt;/a&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-5195517717814185077?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/5195517717814185077/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=5195517717814185077&amp;isPopup=true' title='1 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5195517717814185077'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5195517717814185077'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2008/04/period-closing-process-for-payables.html' title='Period closing Process  for Payables'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp3.blogger.com/_tfK4jnybjvA/SCNCIbwd3sI/AAAAAAAAAJM/39sdzWU1nmg/s72-c/untitled.bmp' height='72' width='72'/><thr:total>1</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-8168615354666992418</id><published>2008-01-23T09:21:00.000+05:30</published><updated>2008-01-23T09:22:04.678+05:30</updated><title type='text'>Data Load</title><content type='html'>Data load is the tool to Load data into any application running in Windows, and contains extra functionality for loading data and setup into Oracle Applications. Means we can load data through front end forms. To load data using Data Load you setup Data Load to load into the forms and the forms load the data into your system. Non technical users can also use this tool.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-8168615354666992418?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/8168615354666992418/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=8168615354666992418&amp;isPopup=true' title='3 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8168615354666992418'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8168615354666992418'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2008/01/data-load.html' title='Data Load'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>3</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-3126476979128785749</id><published>2008-01-23T09:07:00.000+05:30</published><updated>2008-01-23T09:08:35.601+05:30</updated><title type='text'>SOX</title><content type='html'>The Sarbanes-Oxley Act of 2002, also known as the Public Company Accounting Reform and Investor Protection Act of 2002 and commonly called SOx or Sarbox; is a United States federal law enacted on July 30, 2002,To improve quality and transparency in financial reporting and independent audits and accounting services for public companies, to create a Public Company Accounting Oversight Board, to enhance the standard setting process for accounting practices, to strengthen the independence of firms that audit public companies, to increase corporate responsibility and the usefulness of corporate financial disclosure, to protect the objectivity and independence of securities analysts, to improve Securities and Exchange Commission resources and oversight, and for other purposes&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-3126476979128785749?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/3126476979128785749/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=3126476979128785749&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3126476979128785749'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3126476979128785749'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2008/01/sox.html' title='SOX'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-951295067693280473</id><published>2007-12-07T09:11:00.000+05:30</published><updated>2007-12-07T09:11:37.136+05:30</updated><title type='text'>Accounts Payables Frequently Asked Questions</title><content type='html'>1. What are the types of invoices?&lt;br /&gt;2. What is difference between debit memo and credit memo?&lt;br /&gt;3. What is meant by with-holding tax invoice?&lt;br /&gt;4. What are the mandatory setups in AP?&lt;br /&gt;5. What is the difference between PO default and quick match?&lt;br /&gt;6. Use of recurring invoice?&lt;br /&gt;7. Steps for payment batch?&lt;br /&gt;8. Purpose of Payable invoice open interface?&lt;br /&gt;9. Payable open interface import? (Expense Report Import)&lt;br /&gt;10. Multi Currency payments?&lt;br /&gt;11. Can we implement MRC at Payables?&lt;br /&gt;12. Use of Distribution set?&lt;br /&gt;13. Accounting Methods?&lt;br /&gt;14. Use of automatic offset method?&lt;br /&gt;15. What does the Unaccounted Transaction Sweep Report do?&lt;br /&gt;16. What reports should I run before closing the period?&lt;br /&gt;17. What is the program to transfer data from AP to GL?&lt;br /&gt;18. What is meant by void payments?&lt;br /&gt;19. What are the types of journal categories available in the AP?&lt;br /&gt;20. What is meant by matching and what are the types of matchings available?&lt;br /&gt;21. Types of Prepayments? And difference between them?&lt;br /&gt;22. What is a Hold and Release &lt;br /&gt;23. How to approve ‘n’ no. of invoices &lt;br /&gt;24. What is Zero-Payment in AP &lt;br /&gt;25. What is Proxima Payment Terms?&lt;br /&gt;26. What are the tables associated with Invoice?&lt;br /&gt;27.  Which interface tables are used for Invoice Import?&lt;br /&gt;28. What is 2 way, 3 way and 4 way matching?&lt;br /&gt;29. What is Interest Invoice and how it can be created?&lt;br /&gt;30. How many key flexfields are there in Payables?&lt;br /&gt;31. Can you cancel the invoice? If yes, explain?&lt;br /&gt;32. What is pay date basis?&lt;br /&gt;33. What is terms date basis?&lt;br /&gt;34. What is the report used to identify duplicate suppliers?&lt;br /&gt;35. Difference between header level tax calculation and line level tax   calculation?&lt;br /&gt;36. What is meant by accrual write off?&lt;br /&gt;37. Difference between quick payment and manual payment?&lt;br /&gt;38. Use of Future dated payments?&lt;br /&gt;39. Tell me steps for Period closing Process in AP?&lt;br /&gt;40. Payable And Financial options?&lt;br /&gt;41. What is meant by third party payments?&lt;br /&gt;42. How to transfer funds between your internal banks?&lt;br /&gt;43. Invoice Approval Process?&lt;br /&gt;44. Can I find out which invoices are matched to a PO?&lt;br /&gt;45. What is Intercompany Invoicing?&lt;br /&gt;46. ERS Invoice means?&lt;br /&gt;47. Use of Pay on receipt auto invoice?&lt;br /&gt;48. What is meant by RTS transactions?&lt;br /&gt;49. What are the steps to define a Bank?&lt;br /&gt;50. Payment Methods?&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-951295067693280473?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/951295067693280473/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=951295067693280473&amp;isPopup=true' title='6 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/951295067693280473'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/951295067693280473'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/12/accounts-payables-frequently-asked.html' title='Accounts Payables Frequently Asked Questions'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>6</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-4896766114758127392</id><published>2007-11-02T22:54:00.000+05:30</published><updated>2007-11-02T22:55:39.033+05:30</updated><title type='text'></title><content type='html'>&lt;strong&gt;Difference between multiple databases, multiple instances, and multiple installations?&lt;/strong&gt;&lt;br /&gt;In Oracle database terminology, an instance is the combination of background processes and memory structures that allow the user to access data in an Oracle database. In an applications context, instance and database are often used interchangeably.Multiple installations, or "installs" means that Oracle Applications are installed multiple times on a single database.Multiple databases or instances refer to a scenario in which there may exist numerous databases, each with one or more installations and implementations of the Oracle Applications.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-4896766114758127392?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/4896766114758127392/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=4896766114758127392&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4896766114758127392'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4896766114758127392'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/11/difference-between-multiple-databases.html' title=''/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-5532677400795258825</id><published>2007-10-07T22:01:00.000+05:30</published><updated>2007-10-09T21:07:37.264+05:30</updated><title type='text'>Period status in General Ledger</title><content type='html'>&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RwugBG6rq1I/AAAAAAAAAHY/OZna-UIWKtU/s1600-h/untitled.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RwugBG6rq1I/AAAAAAAAAHY/OZna-UIWKtU/s320/untitled.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5119361342333758290" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;strong&gt;Open&lt;/strong&gt;: In the Open status you can enter and post Journals.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Closed&lt;/strong&gt;: In this status Journal entry and posting not allowed until accounting period is reopened. Reporting and inquiry allowed. &lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Permanently Closed&lt;/strong&gt;: In this status Journal entry and posting not allowed. You cannot change this period status. Reporting and inquiry allowed. You can change the status.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Never Opened&lt;/strong&gt;: Journal entry and posting are not allowed. General Ledger assigns this status to any period preceding the first period ever opened in your &lt;br /&gt;calendar, or to any period that has been defined, but is not yet future-enterable. You cannot change this period status. &lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Future-Entry&lt;/strong&gt;: Journal entry is allowed, but posting is not. Your period is not yet open, but falls within the range of future-enterable periods you designated in the Set of Books window. You cannot change this period status without using the concurrent process to open the period.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-5532677400795258825?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/5532677400795258825/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=5532677400795258825&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5532677400795258825'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5532677400795258825'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/10/period-status-in-general-ledger.html' title='Period status in General Ledger'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp0.blogger.com/_tfK4jnybjvA/RwugBG6rq1I/AAAAAAAAAHY/OZna-UIWKtU/s72-c/untitled.bmp' height='72' width='72'/><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-3945643224463960701</id><published>2007-09-20T21:00:00.000+05:30</published><updated>2007-09-20T21:03:01.123+05:30</updated><title type='text'>Recurring Journals</title><content type='html'>Define recurring journal formulas for transactions that you repeat every accounting period, such as accruals, depreciation charges, and allocations. &lt;br /&gt;&lt;br /&gt;&lt;br /&gt;You can use recurring journals to create three types of journal entries:&lt;br /&gt;&lt;br /&gt; &lt;strong&gt;Skeleton Journal Entries:&lt;/strong&gt; Skeleton journals have varying amounts in each period. You define a recurring journal entry with out amounts, and then enter the appropriate amounts each accounting period.&lt;br /&gt;There are no formulas to enter, only account combinations. For example, you can record temporary labor expenses in the same account combination every month with varying amount due to fluctuations in hours..&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Standard Recurring Journal Entries:&lt;/strong&gt; Standard recurring journal entries use the same accounts and amounts each period.&lt;br /&gt;For Example: Record monthly lease expenses with constant amounts charged to the same account.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Recurring Journal Formula Entries:&lt;/strong&gt; Formula entries use formulas to calculate journal amounts that vary from period to period. For example, calculate commotion to sales representative based on the sales of the month.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-3945643224463960701?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/3945643224463960701/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=3945643224463960701&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3945643224463960701'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3945643224463960701'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/09/recurring-journals.html' title='Recurring Journals'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-1796502066767954327</id><published>2007-09-02T23:42:00.001+05:30</published><updated>2011-05-16T23:16:11.704+05:30</updated><title type='text'>Purchasing FAQ’s</title><content type='html'>1. Define Requition?&lt;br /&gt;2. What are the types of requitions?&lt;br /&gt;3. What is the use of requition template?&lt;br /&gt;4. What is the procedure for requition import?&lt;br /&gt;5. What is meant by RFQ?&lt;br /&gt;6. What are the types of RFQ”S?&lt;br /&gt;7. What is meant by quatation and quotation analysis?&lt;br /&gt;8. What is meant my PO?&lt;br /&gt;9. What are the types of PO?&lt;br /&gt;10. What are the types of receipts?&lt;br /&gt;11. What is meant by receipt routing?&lt;br /&gt;12. What is the purpose of receiving transactions?&lt;br /&gt;13. What is meant by receipt routing? Types?&lt;br /&gt;14. What is the use of auto creat?&lt;br /&gt;15. What is meant by pay on receipt auto invoice?&lt;br /&gt;16. What do you mean by controlling buyers workload?&lt;br /&gt;17. What is Matching? What are the various methods of matching?&lt;br /&gt;18. What is the use of defining security hierarchy?&lt;br /&gt;19. What is the difference between accrue at period end and accrue on receipt?&lt;br /&gt;20. Why are expenses items typically accrued at period end, and why are    inventory items always accrued on receipt?&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-1796502066767954327?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/1796502066767954327/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=1796502066767954327&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/1796502066767954327'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/1796502066767954327'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/09/purchasing-faqs.html' title='Purchasing FAQ’s'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-8161342331419455677</id><published>2007-09-01T22:00:00.000+05:30</published><updated>2007-09-01T22:08:27.117+05:30</updated><title type='text'>Types Of  Purchase Orders</title><content type='html'>Hai Friends...&lt;br /&gt;&lt;br /&gt;From the below picture you can find the diffrence between purchase orders.&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/RtmUm2rAo3I/AAAAAAAAAG4/5o_Mwdu5sP8/s1600-h/untitled.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/RtmUm2rAo3I/AAAAAAAAAG4/5o_Mwdu5sP8/s320/untitled.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5105275047833019250" /&gt;&lt;/a&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-8161342331419455677?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/8161342331419455677/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=8161342331419455677&amp;isPopup=true' title='1 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8161342331419455677'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8161342331419455677'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/09/types-of-purchase-orders.html' title='Types Of  Purchase Orders'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp2.blogger.com/_tfK4jnybjvA/RtmUm2rAo3I/AAAAAAAAAG4/5o_Mwdu5sP8/s72-c/untitled.bmp' height='72' width='72'/><thr:total>1</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-6811962103395514977</id><published>2007-08-12T20:56:00.000+05:30</published><updated>2007-08-12T21:09:09.519+05:30</updated><title type='text'>key flexfield</title><content type='html'>&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rr8pSHLxRxI/AAAAAAAAAGE/HO55LDsdSuQ/s1600-h/untitled.bmp"&gt;&lt;img style="display:block; margin:0px auto 10px; text-align:center;cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rr8pSHLxRxI/AAAAAAAAAGE/HO55LDsdSuQ/s320/untitled.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5097838694349489938" /&gt;&lt;/a&gt;&lt;br /&gt;key flexfield is a field made up of segments, where each segment has both a value and a meaning. You can think of a key flexfield as an “intelligent” field that your business can use to store information represented as “codes.” &lt;br /&gt;&lt;br /&gt;Most organizations use ”codes” made up of meaningful segments to identify general ledger accounts, part numbers, and other business entities. Each segment of the code can represent a characteristic of the entity. For example, consider an account number for a bank. A complete bank number may consists of various segments like the country code, area code, city code, branch code, account type, account number etc&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-6811962103395514977?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/6811962103395514977/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=6811962103395514977&amp;isPopup=true' title='1 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6811962103395514977'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6811962103395514977'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/08/key-flexfield.html' title='key flexfield'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp2.blogger.com/_tfK4jnybjvA/Rr8pSHLxRxI/AAAAAAAAAGE/HO55LDsdSuQ/s72-c/untitled.bmp' height='72' width='72'/><thr:total>1</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-1639744208840641910</id><published>2007-08-12T20:45:00.000+05:30</published><updated>2007-08-12T20:46:13.666+05:30</updated><title type='text'>What is SQL*Loader and what is it used for?</title><content type='html'>SQL*Loader is a bulk loader utility used for moving data from external files into the Oracle database. Its syntax is similar to that of the DB2 Load utility, but comes with more options. SQL*Loader supports various load formats, selective loading, and multi-table loads&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-1639744208840641910?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/1639744208840641910/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=1639744208840641910&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/1639744208840641910'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/1639744208840641910'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/08/what-is-sqlloader-and-what-is-it-used.html' title='What is SQL*Loader and what is it used for?'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-726994898636223421</id><published>2007-08-10T00:21:00.000+05:30</published><updated>2007-08-10T00:27:12.445+05:30</updated><title type='text'>Introduction to TOAD</title><content type='html'>TOAD is powerful development tool to build an advanced SQL/PLSQL . Using TOAD, developers can build and test PL/SQL packages, procedures, triggers and functions. You can create and edit database tables, views, indexes, constraints and users. Simply, the GUI object browser provide quick access to database object.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-726994898636223421?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/726994898636223421'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/726994898636223421'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/08/introduction-to-toad.html' title='Introduction to TOAD'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-5968360522088604005</id><published>2007-07-25T23:27:00.000+05:30</published><updated>2007-07-25T23:35:29.210+05:30</updated><title type='text'>Thanq verymuch</title><content type='html'>&lt;strong&gt;Hai Friends....&lt;br /&gt;&lt;br /&gt;Thanq verymuch for your feed back.&lt;br /&gt;I will try to post more topics,wich is useful for jobseekers.&lt;br /&gt;I'm very happy to inform you that ,I'm going to introduse one discussion forum.&lt;br /&gt;All of you can join and share your quiries and stuff relating to oracle applications.&lt;br /&gt;&lt;br /&gt;With Regards,&lt;br /&gt;Cnubandi.&lt;/strong&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-5968360522088604005?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5968360522088604005'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5968360522088604005'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/07/thanq-verymuch.html' title='Thanq verymuch'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-3078330428318851978</id><published>2007-07-10T21:47:00.000+05:30</published><updated>2007-07-10T21:50:10.688+05:30</updated><title type='text'>Multiple Reporting Currencies</title><content type='html'>The Multiple Reporting Currencies (MRC) is the set of unique feature embedded in Oracle applications, which allows you to report on and maintain accounting at the transaction level in more than one functional currency. MRC is based on the Multi-Org Architecture, and is a significant aspect of a globalization strategy. &lt;br /&gt;&lt;br /&gt;The primary functional currency is the currency you use to record transactions and maintain your accounting data within the Oracle E-Business Suite. In the primary set of books, the functional currency is always the primary functional currency. Usually, the primary functional currency is the currency in which you perform most of your business transactions, and the one you use for legal reporting. &lt;br /&gt;&lt;br /&gt;A reporting set of books is a financial reporting entity associated with a primary set of books. While the reporting set of books has the same chart of accounts and accounting calendar as the primary set of books, its use of a different functional currency (reporting functional currency) allows you to report in a different functional currency than that of your primary set of books. &lt;br /&gt;&lt;br /&gt;You must define a separate set of books for each of your reporting functional currencies. By using MRC concept we can maintain up to Eight Reporting Set Of Books.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-3078330428318851978?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3078330428318851978'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3078330428318851978'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/07/multiple-reporting-currencies.html' title='Multiple Reporting Currencies'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-8402385833785177668</id><published>2007-06-24T23:26:00.000+05:30</published><updated>2007-06-24T23:43:16.249+05:30</updated><title type='text'>Assets Additions</title><content type='html'>&lt;strong&gt;Asset Setup Processes (Additions)&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Quick Additions&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;Use the Quick Additions process to quickly enter ordinary assets when you must enter them manually. You can enter minimal information in the Quick Additions window, and the remaining asset information defaults from the asset category, book, and the date placed in service.&lt;br /&gt;&lt;br /&gt;To add an asset quickly accepting default information:&lt;br /&gt; &lt;br /&gt;1.Choose Assets &gt; Asset Workbench from the Navigator window.&lt;br /&gt;&lt;br /&gt; &lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/Rn60DiEh4uI/AAAAAAAAAFc/p4tAq0colsM/s1600-h/1.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/Rn60DiEh4uI/AAAAAAAAAFc/p4tAq0colsM/s320/1.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5079695402498908898" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;2.Choose Quick Additions from the Find Assets window.&lt;br /&gt;&lt;br /&gt;The following screen appears.&lt;br /&gt; &lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rn6yLSEh4tI/AAAAAAAAAFU/Ov6WO27GjK4/s1600-h/2.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rn6yLSEh4tI/AAAAAAAAAFU/Ov6WO27GjK4/s320/2.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5079693336619639506" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;3. Enter a Description of the asset.&lt;br /&gt;4. Enter the asset Category.&lt;br /&gt;5. Select the Asset Type of the asset. For a description of the assets types, see: Asset Descriptive Details&lt;br /&gt;6. Assign your asset to a corporate depreciation Book.&lt;br /&gt;7. Enter the current Cost.&lt;br /&gt;8. Optionally update the Date Placed In Service.&lt;br /&gt;9. Update the depreciation method and prorate convention, if necessary. The depreciation method and prorate convention are defaulted from the category default rules. However, you can update them here.&lt;br /&gt;10. Assign the asset to an Employee Name (optional), a general ledger depreciation Expense Account, and a Location.&lt;br /&gt;11. Click on the Done Button.&lt;br /&gt;&lt;br /&gt;System displays the following Message.&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rn6xGSEh4sI/AAAAAAAAAFM/BwHRfpmJVaA/s1600-h/3.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rn6xGSEh4sI/AAAAAAAAAFM/BwHRfpmJVaA/s320/3.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5079692151208665794" /&gt;&lt;/a&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-8402385833785177668?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8402385833785177668'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8402385833785177668'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/assets-additions.html' title='Assets Additions'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp3.blogger.com/_tfK4jnybjvA/Rn60DiEh4uI/AAAAAAAAAFc/p4tAq0colsM/s72-c/1.bmp' height='72' width='72'/></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-5287839939897118201</id><published>2007-06-19T21:56:00.000+05:30</published><updated>2007-08-12T21:23:49.804+05:30</updated><title type='text'>Payables Reports Listing</title><content type='html'>Hai Friends...&lt;br /&gt;&lt;br /&gt;You can find Reports Listing in the following Link.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;http://cnubandi.googlepages.com/oraclepayablesreportslisting&lt;/strong&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-5287839939897118201?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/5287839939897118201/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=5287839939897118201&amp;isPopup=true' title='0 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5287839939897118201'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5287839939897118201'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/payables-reports-listing.html' title='Payables Reports Listing'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>0</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-5980444560119920753</id><published>2007-06-18T21:51:00.000+05:30</published><updated>2007-06-19T21:00:38.022+05:30</updated><title type='text'></title><content type='html'>&lt;strong&gt;Hai Friends..Please find the example project plan document...&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;Please click on the figure.It will be expand.&lt;br /&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RnazfyEh4rI/AAAAAAAAAFE/nabx8h6P-h4/s1600-h/untitled.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RnazfyEh4rI/AAAAAAAAAFE/nabx8h6P-h4/s320/untitled.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5077442988504900274" /&gt;&lt;/a&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-5980444560119920753?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5980444560119920753'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/5980444560119920753'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/hai-friends.html' title=''/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp0.blogger.com/_tfK4jnybjvA/RnazfyEh4rI/AAAAAAAAAFE/nabx8h6P-h4/s72-c/untitled.bmp' height='72' width='72'/></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-4325180728725683064</id><published>2007-06-15T23:28:00.000+05:30</published><updated>2007-06-15T23:31:31.173+05:30</updated><title type='text'>Journal source and categories</title><content type='html'>Journal source and categories is used to differentiate journal entries and to enhance your audit trail.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Journal entry source indicates where your journal entries originate&lt;br /&gt;&lt;br /&gt;Journal categories help you differentiate entries by  purchase or type.&lt;/strong&gt;&lt;br /&gt;Examples for Sources:&lt;br /&gt;Assets&lt;br /&gt;Purchasing&lt;br /&gt;Payables&lt;br /&gt;Manual&lt;br /&gt;Budget    …...Etc.&lt;br /&gt;Examples For Categories:&lt;br /&gt;Accruals&lt;br /&gt;Adjustment&lt;br /&gt;Receipts&lt;br /&gt;Revaluation&lt;br /&gt;Payments..Etc..&lt;br /&gt;&lt;br /&gt;Oracle applications provided required source and categories with default. But you can define with your sauce and categories by using the following navigation:&lt;br /&gt; GL:Setup-&gt;Journal-&gt;Source&lt;br /&gt;    Setup-&gt;journal-.Categories&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;With Journal Source you can:&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;Define inter company and suspense accounts for specific sources.&lt;br /&gt;Run auto post program for specific source&lt;br /&gt;Import journals by source&lt;br /&gt;Freeze journals imported from sub ledgers to prevent users from making changes.&lt;br /&gt;If you have journal approval enabled for your set of books, you can use journal source to enforce management approval of journal before they are posted.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;With Journal Categories you can:&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;Define inter company and suspense accounts for specific category.&lt;br /&gt;Use document sequence to sequentially number journals by categories.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-4325180728725683064?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4325180728725683064'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4325180728725683064'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/journal-source-and-categories.html' title='Journal source and categories'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-6854829449742112068</id><published>2007-06-12T23:57:00.000+05:30</published><updated>2007-06-12T23:58:45.335+05:30</updated><title type='text'>Use Of Automatic Offset Method In Payable Options</title><content type='html'>If you enter an invoice for expenses or asset purchases for more than one balancing segment, you might want to use automatic offset method to keep your payables transaction accounting entries balanced.&lt;br /&gt; If we enable balancing as a automatic offset, payable builds the offset GL account by taking the balancing segment value from the invoice distribution and overlaying it on to the appropriate GL account, i.e liability account from the supplier site.&lt;br /&gt;If we enable account as automatic offset, it takes the opposite approach with one segment being retained from the default GL account and all other segments being retained from the invoice distribution&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-6854829449742112068?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6854829449742112068'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6854829449742112068'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/use-of-automatic-offset-method-in.html' title='Use Of Automatic Offset Method In Payable Options'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-3224322055482408855</id><published>2007-06-10T10:59:00.001+05:30</published><updated>2007-06-10T23:21:27.983+05:30</updated><title type='text'>Procure To Pay Cycle Process</title><content type='html'>1. Create a Standard Purchase order.&lt;br /&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RmuWtiEh4OI/AAAAAAAAABc/kdx63ZxOG88/s1600-h/1.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RmuWtiEh4OI/AAAAAAAAABc/kdx63ZxOG88/s320/1.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074315114147078370" /&gt;&lt;/a&gt;&lt;br /&gt;2. Give Shipments&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/RmuXUCEh4PI/AAAAAAAAABk/E4TvjtfabQQ/s1600-h/2.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/RmuXUCEh4PI/AAAAAAAAABk/E4TvjtfabQQ/s320/2.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074315775572041970" /&gt;&lt;/a&gt;&lt;br /&gt;3. Give Distributions&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/RmuYGSEh4QI/AAAAAAAAABs/TYU7RYdfPMU/s1600-h/3.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/RmuYGSEh4QI/AAAAAAAAABs/TYU7RYdfPMU/s320/3.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074316638860468482" /&gt;&lt;/a&gt;&lt;br /&gt;4. Approve PO&lt;br /&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RmuYviEh4RI/AAAAAAAAAB0/yJ-uNBQJpEk/s1600-h/4.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RmuYviEh4RI/AAAAAAAAAB0/yJ-uNBQJpEk/s320/4.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074317347530072338" /&gt;&lt;/a&gt;&lt;br /&gt;5. See the status of the PO In The header level: It is approved.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/RmuZZSEh4SI/AAAAAAAAAB8/ReZw5-0tBT8/s1600-h/5.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/RmuZZSEh4SI/AAAAAAAAAB8/ReZw5-0tBT8/s320/5.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074318064789610786" /&gt;&lt;/a&gt;&lt;br /&gt;6. Go to the ReceivingàReceipts&lt;br /&gt; &lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RmuaIiEh4TI/AAAAAAAAACE/iSYDSIU996E/s1600-h/6.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RmuaIiEh4TI/AAAAAAAAACE/iSYDSIU996E/s320/6.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074318876538429746" /&gt;&lt;/a&gt;&lt;br /&gt;7. Give the sub inv and stock locator where you want store the goods. And Save.&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/RmujdCEh4UI/AAAAAAAAACM/nJND1ogHp_k/s1600-h/7.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/RmujdCEh4UI/AAAAAAAAACM/nJND1ogHp_k/s320/7.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074329124330398018" /&gt;&lt;/a&gt;&lt;br /&gt;8. View the request status and refresh If not Completed.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/RmukhSEh4VI/AAAAAAAAACU/MqpinrKoRqQ/s1600-h/8.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/RmukhSEh4VI/AAAAAAAAACU/MqpinrKoRqQ/s320/8.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074330296856469842" /&gt;&lt;/a&gt;&lt;br /&gt;9. Run the Program Pay on receipt auto invoice.(Which Generate Invoice Automatically)&lt;br /&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RmulQiEh4WI/AAAAAAAAACc/jttFEC55_wk/s1600-h/9.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RmulQiEh4WI/AAAAAAAAACc/jttFEC55_wk/s320/9.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074331108605288802" /&gt;&lt;/a&gt;&lt;br /&gt;10. View the Status of the program and refresh if not completed.&lt;br /&gt;&lt;a href="http://bp1.blogger.com/_tfK4jnybjvA/RmumXyEh4XI/AAAAAAAAACk/ApK1MVo9dQw/s1600-h/10.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp1.blogger.com/_tfK4jnybjvA/RmumXyEh4XI/AAAAAAAAACk/ApK1MVo9dQw/s320/10.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074332332670968178" /&gt;&lt;/a&gt;&lt;br /&gt;11. Go to Payables: InvoiceàEntry àInvoice&lt;br /&gt;Query with the Invoice Num ERS%&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rmun8CEh4YI/AAAAAAAAACs/Q3QMOYWyhkM/s1600-h/11.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rmun8CEh4YI/AAAAAAAAACs/Q3QMOYWyhkM/s320/11.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074334054952853890" /&gt;&lt;/a&gt;&lt;br /&gt;12. Validate the Invoice .After Validate Enable the creating Accounting check box.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/Rmuo9SEh4ZI/AAAAAAAAAC0/HcH9q9C3leY/s1600-h/12.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/Rmuo9SEh4ZI/AAAAAAAAAC0/HcH9q9C3leY/s320/12.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074335175939318162" /&gt;&lt;/a&gt;&lt;br /&gt;13.See The Account &lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/RmuqrCEh4aI/AAAAAAAAAC8/ofF6K2CXHTE/s1600-h/13.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/RmuqrCEh4aI/AAAAAAAAAC8/ofF6K2CXHTE/s320/13.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074337061429961122" /&gt;&lt;/a&gt;&lt;br /&gt;14. Enable the check box Pay in full. And Pres ok.&lt;br /&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RmurXiEh4bI/AAAAAAAAADE/NtxjJJdB4dM/s1600-h/14.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RmurXiEh4bI/AAAAAAAAADE/NtxjJJdB4dM/s320/14.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074337825934139826" /&gt;&lt;/a&gt;&lt;br /&gt;15. Select the Bank and Go to Actions &lt;br /&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/RmusOiEh4cI/AAAAAAAAADM/QMXIHxTF2fg/s1600-h/15.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp0.blogger.com/_tfK4jnybjvA/RmusOiEh4cI/AAAAAAAAADM/QMXIHxTF2fg/s320/15.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074338770826944962" /&gt;&lt;/a&gt;&lt;br /&gt;16. Enable the check box Create Accounting and press ok.&lt;br /&gt;&lt;a href="http://bp1.blogger.com/_tfK4jnybjvA/Rmus_yEh4dI/AAAAAAAAADU/TXOXLpSx8c0/s1600-h/16.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp1.blogger.com/_tfK4jnybjvA/Rmus_yEh4dI/AAAAAAAAADU/TXOXLpSx8c0/s320/16.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074339616935502290" /&gt;&lt;/a&gt;&lt;br /&gt;17. See the Account Created.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/RmutvSEh4eI/AAAAAAAAADc/9MpJJEF_IN8/s1600-h/17.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/RmutvSEh4eI/AAAAAAAAADc/9MpJJEF_IN8/s320/17.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074340432979288546" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;18. Now see the invoice status validated, accounted and amount paid.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/Rmux1SEh4fI/AAAAAAAAADk/pmvrrXi0U8M/s1600-h/18.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/Rmux1SEh4fI/AAAAAAAAADk/pmvrrXi0U8M/s320/18.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074344934105014770" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;19. Go to Cash Management: Bank Statementsà Manual clearing. àClear Transactions&lt;br /&gt;Find the Bank Account.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/RmuyiSEh4gI/AAAAAAAAADs/QwlA1kuGQVw/s1600-h/19.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/RmuyiSEh4gI/AAAAAAAAADs/QwlA1kuGQVw/s320/19.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074345707199128066" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;20. Enable the Transaction and press Clear Transaction Button.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/RmuzHSEh4hI/AAAAAAAAAD0/51x6asDSy14/s1600-h/20.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/RmuzHSEh4hI/AAAAAAAAAD0/51x6asDSy14/s320/20.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074346342854287890" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;21. Go to Payables: PaymentàEntryàPayment&lt;br /&gt;Query with Payment Date&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/RmuzpCEh4iI/AAAAAAAAAD8/cRrR6b_9OVc/s1600-h/21.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/RmuzpCEh4iI/AAAAAAAAAD8/cRrR6b_9OVc/s320/21.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074346922674872866" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;22. Go to actions, enable Create Accounting and press ok.&lt;br /&gt;&lt;a href="http://bp1.blogger.com/_tfK4jnybjvA/Rmu0SyEh4jI/AAAAAAAAAEE/Sgo0E3sNQI0/s1600-h/22.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp1.blogger.com/_tfK4jnybjvA/Rmu0SyEh4jI/AAAAAAAAAEE/Sgo0E3sNQI0/s320/22.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074347639934411314" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;23. See the Account created.&lt;br /&gt;&lt;a href="http://bp1.blogger.com/_tfK4jnybjvA/Rmu2kyEh4kI/AAAAAAAAAEM/I13sxxe3MQU/s1600-h/23.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp1.blogger.com/_tfK4jnybjvA/Rmu2kyEh4kI/AAAAAAAAAEM/I13sxxe3MQU/s320/23.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074350148195312194" /&gt;&lt;/a&gt;&lt;br /&gt;24. Run: Payables Transfer to General Ledger.&lt;br /&gt;&lt;a href="http://bp3.blogger.com/_tfK4jnybjvA/Rmu31SEh4lI/AAAAAAAAAEU/x9CdApNszqs/s1600-h/24.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp3.blogger.com/_tfK4jnybjvA/Rmu31SEh4lI/AAAAAAAAAEU/x9CdApNszqs/s320/24.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074351531174781522" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;25.View the Request status and refers if not completed.&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rmu44CEh4mI/AAAAAAAAAEc/qXjoAMaEMvs/s1600-h/25.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rmu44CEh4mI/AAAAAAAAAEc/qXjoAMaEMvs/s320/25.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074352677931049570" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;26.Got to GL:JournalàImportàRun&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rmu6LCEh4nI/AAAAAAAAAEk/EcbxoE8Ukco/s1600-h/26.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rmu6LCEh4nI/AAAAAAAAAEk/EcbxoE8Ukco/s320/26.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074354103860191858" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;27.View the request status and refers if not completed.&lt;br /&gt;&lt;a href="http://bp2.blogger.com/_tfK4jnybjvA/Rmu7ICEh4oI/AAAAAAAAAEs/LpgMrM3G7ko/s1600-h/27.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp2.blogger.com/_tfK4jnybjvA/Rmu7ICEh4oI/AAAAAAAAAEs/LpgMrM3G7ko/s320/27.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074355151832212098" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;28. Go to JournalsàEnter .Find with Source as Payables.&lt;br /&gt;&lt;a href="http://bp1.blogger.com/_tfK4jnybjvA/Rmu7uyEh4pI/AAAAAAAAAE0/LJKv0rehXKM/s1600-h/28.bmp"&gt;&lt;img style="cursor:pointer; cursor:hand;" src="http://bp1.blogger.com/_tfK4jnybjvA/Rmu7uyEh4pI/AAAAAAAAAE0/LJKv0rehXKM/s320/28.bmp" border="0" alt=""id="BLOGGER_PHOTO_ID_5074355817552142994" /&gt;&lt;/a&gt;&lt;br /&gt;&lt;br /&gt;29.Now We can Post the journals.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-3224322055482408855?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3224322055482408855'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/3224322055482408855'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/procure-to-pay-cycle-flow-1.html' title='Procure To Pay Cycle Process'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp0.blogger.com/_tfK4jnybjvA/RmuWtiEh4OI/AAAAAAAAABc/kdx63ZxOG88/s72-c/1.bmp' height='72' width='72'/></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-2845183413589415192</id><published>2007-06-07T11:33:00.000+05:30</published><updated>2007-06-07T11:35:32.200+05:30</updated><title type='text'>Secondary Tracking Segment</title><content type='html'>Secondary Tracking Segment is a Flex field qualified added in the 11.5.10 release. The secondary tracking segment is used in the revaluation, translation, and fiscal year-end close processes. The system will automatically maintain unrealized gain/loss, retained earnings, and cumulative translation adjustments by unique pairs of balancing segment and secondary tracking segment values. you can assign Secondary tracking segment flex field qualifier to an segment which haven’t assigned Natural account, balensing Segment and inter company.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-2845183413589415192?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/2845183413589415192'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/2845183413589415192'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/06/secondary-tracking-segment.html' title='Secondary Tracking Segment'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-4965830751228951803</id><published>2007-05-25T11:00:00.000+05:30</published><updated>2007-05-25T11:05:01.243+05:30</updated><title type='text'>Assets Frequently Asked Questions</title><content type='html'>1. What are the different ways of adding assets in FA? &lt;br /&gt;2. How do we depreciate Assets in Oracle Applications? &lt;br /&gt;3. What is the significance of asset books in FA? Types?&lt;br /&gt;4.What is ment by retire asset? How do we retire assets in Oracle applications? &lt;br /&gt;5. What are the various Journal Entries generated through fixed assets&lt;br /&gt;6.At what level FA is implemented?&lt;br /&gt;7.What is the profile used to secure asset register?&lt;br /&gt;8.What are the asset types in FA Module?&lt;br /&gt;9.What are the different calendars used in FA Module?&lt;br /&gt;10.Is FA Supports Multi _org?&lt;br /&gt;11.What is ment by Roll back depreciation?&lt;br /&gt;12.What are the mandatory flexfiels used in FA?&lt;br /&gt;13.What are the depreciation methods used in FA module?&lt;br /&gt;14.What is ment by prorate convention?&lt;br /&gt;15.What is the use of allow amortized changes check box?&lt;br /&gt;16.What is the difference between Quick addition and detail addition?&lt;br /&gt;17.What is ment by projection?&lt;br /&gt;18.What is ment by what-if analysis?&lt;br /&gt;19.What is ment by leased asset?&lt;br /&gt;20.What is ment by depreciation override? Can we override depreciation?&lt;br /&gt;21.What is ment by physical inventory reconciliation?&lt;br /&gt;22.Tell me something about asset insurance?&lt;br /&gt;23.What is ment by asset revaluation?&lt;br /&gt;24.In prepare mass additions window what are available Q names?&lt;br /&gt;25.what is the difference between initial mass copy and periodic mass copy?&lt;br /&gt;26.what is internal retairment?&lt;br /&gt;27.What experience do you have in FA Module Implementation?&lt;br /&gt;28.What do you know about FA to GL cycle?&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-4965830751228951803?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/4965830751228951803/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=4965830751228951803&amp;isPopup=true' title='4 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4965830751228951803'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4965830751228951803'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/05/assets-frequently-asked-questions.html' title='Assets Frequently Asked Questions'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>4</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-6328009384131536533</id><published>2007-05-17T23:08:00.001+05:30</published><updated>2011-02-14T00:02:47.303+05:30</updated><title type='text'>Multi - Org Setup</title><content type='html'>&lt;span style="color: orange;"&gt;Multi-Org&lt;/span&gt; is a server-side (applications and database) enhancement that enables multiple business units in an enterprise to use a single installation of Oracle Applications products while keeping transaction data separate and secure. The Multi-Org enhancement uses native database views to build a security layer on top of a single installation of Oracle Applications. In Oracle Applications Release 11i, &lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;&lt;span style="color: red;"&gt;Basic Business Needs&lt;/span&gt;&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;The Multi-Org enhancement to Oracle Applications provides features necessary to satisfy the following basic business needs. You should be able to:&lt;br /&gt;&lt;br /&gt;• Use a single installation of any Oracle Applications product to support any number of business units, even if those business units use different sets of books.&lt;br /&gt;• Support any number of business units within a single installation of Oracle Applications.&lt;br /&gt;• Secure access to data so that users can access only information that is relevant to them.&lt;br /&gt;• Procure products from an operating unit that uses one set of book, but receive them from another operating unit using a different set of books.&lt;br /&gt;• Sell products from an operating unit that uses one set of books, but ship them from another operating unit using a different set of books, automatically recording the appropriate intercompany sales by posting intercompany accounts payable and accounts receivable invoices.&lt;br /&gt;• Report at any level of the organizational structure&amp;nbsp; &lt;br /&gt;&lt;br /&gt;&lt;strong&gt;&lt;u&gt;&lt;span style="color: red;"&gt;The Below is the structure of the Multi-Org&lt;/span&gt;&lt;/u&gt;&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;&lt;div class="separator" style="clear: both; text-align: center;"&gt;&lt;a href="http://bp0.blogger.com/_tfK4jnybjvA/Rk6PRyK9qkI/AAAAAAAAAAw/ZtDbZr80QiI/s1600-h/untitled.bmp" style="margin-left: 1em; margin-right: 1em;"&gt;&lt;img alt="" border="0" height="205" id="BLOGGER_PHOTO_ID_5066144166526691906" src="http://bp0.blogger.com/_tfK4jnybjvA/Rk6PRyK9qkI/AAAAAAAAAAw/ZtDbZr80QiI/s320/untitled.bmp" style="float: left; margin: 0px 10px 10px 0px;" width="320" /&gt;&lt;/a&gt;&lt;/div&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;1.Login as sysadmin responsibility&lt;br /&gt;2.Ddefine required responsibilities &lt;br /&gt;Navigation:security-&amp;gt;responsibility-&amp;gt;define&lt;br /&gt;3.Define user and assign responsibilities to the user. &lt;br /&gt;N:Security-&amp;gt;user-&amp;gt;define.&lt;br /&gt;4.Login as GL Responsibility&lt;br /&gt;5.Define accounting flexfield &lt;br /&gt;N:setup-&amp;gt;financials-&amp;gt;flexfield-&amp;gt;key-&amp;gt;segments&lt;br /&gt;6.Give values for your segments &lt;br /&gt;N:setup-&amp;gt;financials-&amp;gt;flexfield-&amp;gt;key-&amp;gt;values.&lt;br /&gt;7.Define Currency &lt;br /&gt;N:setup-&amp;gt;Curriencies-&amp;gt;define&lt;br /&gt;8.Define Calender.&lt;br /&gt;N:Setup-&amp;gt;financials-&amp;gt;calender-&amp;gt;Type/Accounting&lt;br /&gt;9.Create SOB N:Setup-&amp;gt;financials-&amp;gt;book-&amp;gt;define&lt;br /&gt;10.Login as HRMS responsibility.&lt;br /&gt;11.Define a location N:Work Structure-&amp;gt;Location&lt;br /&gt;12.Define a Business Group &lt;br /&gt;N:Works Structure-&amp;gt;organization-&amp;gt;description&lt;br /&gt;13.Set the following Profile Options to all your responsibilities&lt;br /&gt;HR:security&lt;br /&gt;HR:bisiness group&lt;br /&gt;HR:User Type&lt;br /&gt;GL:Set of books name&lt;br /&gt;14.Login As Inventoruy responsibility&lt;br /&gt;15.Create legal entity &lt;br /&gt;N:Setup-&amp;gt;organizations-&amp;gt;organizations&lt;br /&gt;16.Create Operatiing unit N:Setup-&amp;gt;organizations-&amp;gt;organizations&lt;br /&gt;17.Set Profile option Mo:Operating unit for all responsibilites which is worked at operating unit level.&lt;br /&gt;18.Create Work day calender&lt;br /&gt;19.Create inventory Organization. &lt;br /&gt;N:Setup-&amp;gt;organizations-&amp;gt;organizations&lt;br /&gt;20.Login as sysadmin and run replicate seed data program.&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-6328009384131536533?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/6328009384131536533/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=6328009384131536533&amp;isPopup=true' title='3 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6328009384131536533'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/6328009384131536533'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/05/multi-org-setup.html' title='Multi - Org Setup'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><media:thumbnail xmlns:media='http://search.yahoo.com/mrss/' url='http://bp0.blogger.com/_tfK4jnybjvA/Rk6PRyK9qkI/AAAAAAAAAAw/ZtDbZr80QiI/s72-c/untitled.bmp' height='72' width='72'/><thr:total>3</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-8157549101800869330</id><published>2007-04-30T23:40:00.000+05:30</published><updated>2007-05-01T00:00:30.277+05:30</updated><title type='text'>Note On Indian localization</title><content type='html'>Oracle Applications was developed as a Global product.Because of this reason it does not supported by some acts like customs,central excise,vat,cst...etc which are mandatory according to Indian Laws.&lt;br /&gt;&lt;br /&gt;All other contries are also having some contry specific requirements. To meet the above requirements Oracle developes software named patches.We can add this patches to the base product of the oracle applications.&lt;br /&gt;&lt;br /&gt;Indian Localization is also one patch which meets the contry specific requirements.&lt;br /&gt;&lt;strong&gt;What is India Localization Product? &lt;/strong&gt;&lt;br /&gt;India Localization is a solution built over Oracle E-Business Suite, Oracle's e-business applications software product, that provides Clients in India with the most comprehensive solution to comply with the India specific tax requirements as specified by Central Excise, Customs, Sales Tax and VAT, and Income Tax, (to the extent of tax deduction at source and generation of Depreciation Schedule for fixed assets). India Localization product also provides valuable information that can be used for statutory and management reporting.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;What Does India Localization Product Do?&lt;/strong&gt;The product uses its own tax engine, for handling taxes applicable across 'Procure to Pay' and 'Order to Cash' transactions.&lt;br /&gt;&lt;br /&gt;In India Localization, taxes are defaulted based on the pre-determined setup (Tax Defaultation). Tax amounts are calculated based on precedence such as transaction base value, tax on tax, or assessable value as specified by tax authority (Tax Calculation). The Tax Amount is considered for inventory valuation, recoverability and accounting based on the pre-determined recoverability and accounting rules (Tax Accounting and Recoverability). Details of recoverable tax amount are recorded as part of the repository (Tax Recording). This information can further be used to calculate the final tax liability arising on settlement at the end of the tax period (Tax Settlement) and for statutory reporting (Tax Reporting).&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;Components of India Localization Product  &lt;/strong&gt; &lt;br /&gt; Tax Defaultation  &lt;br /&gt; Tax Calculation and Recovery  &lt;br /&gt; Accounting for India Localization Taxes  &lt;br /&gt; Recording and Reporting Tax Information&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-8157549101800869330?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/8157549101800869330/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=8157549101800869330&amp;isPopup=true' title='2 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8157549101800869330'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/8157549101800869330'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/04/note-on-indian-localization.html' title='Note On Indian localization'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>2</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-2747519279442429084</id><published>2007-04-26T23:29:00.000+05:30</published><updated>2007-04-26T23:36:45.096+05:30</updated><title type='text'>Form personalization</title><content type='html'>&lt;strong&gt; Introduction to Form personalization&lt;/strong&gt;&lt;br /&gt;&lt;br /&gt;Form personalization is a declarative feature that alters the look and behavior of the oracle forms with out changing base code. This concept was introduced in the release 11.5.10. All E-Business suit forms can be personalized&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;By using form personalization you can:&lt;/strong&gt;1. Display your own terminology.&lt;br /&gt;2. Stream lines the screen interaction.&lt;br /&gt;3. Implement security policies.&lt;br /&gt;4. Add your own validation and error messages.&lt;br /&gt;&lt;br /&gt;&lt;strong&gt;There are some limitations:&lt;/strong&gt;&lt;br /&gt;1. You can only change what oracle forms allows to be changed at run time.&lt;br /&gt;2. You can only respond to limited trigger events only.&lt;br /&gt;3. Your changes may be overridden by oracle base code.&lt;br /&gt;&lt;br /&gt;To Be Continued in the next post.........&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-2747519279442429084?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/2747519279442429084/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=2747519279442429084&amp;isPopup=true' title='1 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/2747519279442429084'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/2747519279442429084'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/04/form-personalization.html' title='Form personalization'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>1</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-4603581766417027445</id><published>2007-04-25T18:29:00.000+05:30</published><updated>2007-04-26T23:34:57.915+05:30</updated><title type='text'>AIM Documents .............</title><content type='html'>&lt;span style="color:#3333ff;"&gt;Hai Friends...as a functional consultant we should know about AIM.Please find  the AIM Documents list..............&lt;/span&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;&lt;/span&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Business Process Architecture (BP)&lt;/span&gt;&lt;br /&gt;BP.010 Define Business and Process Strategy&lt;br /&gt;BP.020 Catalog and Analyze Potential Changes&lt;br /&gt;BP.030 Determine Data Gathering Requirements&lt;br /&gt;BP.040 Develop Current Process Model&lt;br /&gt;BP.050 Review Leading Practices&lt;br /&gt;BP.060 Develop High-Level Process Vision&lt;br /&gt;BP.070 Develop High-Level Process Design&lt;br /&gt;BP.080 Develop Future Process Model&lt;br /&gt;BP.090 Document Business Procedure&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Business Requirements Definition (RD)&lt;/span&gt;&lt;br /&gt;RD.010 Identify Current Financial and Operating Structure&lt;br /&gt;RD.020 Conduct Current Business Baseline&lt;br /&gt;RD.030 Establish Process and Mapping Summary&lt;br /&gt;RD.040 Gather Business Volumes and Metrics&lt;br /&gt;RD.050 Gather Business Requirements&lt;br /&gt;RD.060 Determine Audit and Control Requirements&lt;br /&gt;RD.070 Identify Business Availability Requirements&lt;br /&gt;RD.080 Identify Reporting and Information Access Requirements&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Business Requirements Mapping&lt;/span&gt;&lt;br /&gt;BR.010 Analyze High-Level Gaps&lt;br /&gt;BR.020 Prepare mapping environment&lt;br /&gt;BR.030 Map Business requirements&lt;br /&gt;BR.040 Map Business Data&lt;br /&gt;BR.050 Conduct Integration Fit Analysis&lt;br /&gt;BR.060 Create Information Model&lt;br /&gt;BR.070 Create Reporting Fit Analysis&lt;br /&gt;BR.080 Test Business Solutions&lt;br /&gt;BR.090 Confirm Integrated Business Solutions&lt;br /&gt;BR.100 Define Applications Setup&lt;br /&gt;BR.110 Define security Profiles&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Application and Technical Architecture (TA)&lt;/span&gt;&lt;br /&gt;TA.010 Define Architecture Requirements and Strategy&lt;br /&gt;TA.020 Identify Current Technical Architecture&lt;br /&gt;TA.030 Develop Preliminary Conceptual Architecture&lt;br /&gt;TA.040 Define Application Architecture&lt;br /&gt;TA.050 Define System Availability Strategy&lt;br /&gt;TA.060 Define Reporting and Information Access Strategy&lt;br /&gt;TA.070 Revise Conceptual Architecture&lt;br /&gt;TA.080 Define Application Security Architecture&lt;br /&gt;TA.090 Define Application and Database Server Architecture&lt;br /&gt;TA.100 Define and Propose Architecture Subsystems&lt;br /&gt;TA.110 Define System Capacity Plan&lt;br /&gt;TA.120 Define Platform and Network Architecture&lt;br /&gt;TA.130 Define Application Deployment Plan&lt;br /&gt;TA.140 Assess Performance Risks&lt;br /&gt;TA.150 Define System Management Procedures&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Module Design and Build (MD)&lt;/span&gt;&lt;br /&gt;MD.010 Define Application Extension Strategy&lt;br /&gt;MD.020 Define and estimate application extensions&lt;br /&gt;MD.030 Define design standards&lt;br /&gt;MD.040 Define Build Standards&lt;br /&gt;MD.050 Create Application extensions functional design&lt;br /&gt;MD.060 Design Database extensions&lt;br /&gt;MD.070 Create Application extensions technical design&lt;br /&gt;MD.080 Review functional and Technical designs&lt;br /&gt;MD.090 Prepare Development environment&lt;br /&gt;MD.100 Create Database extensions&lt;br /&gt;MD.110 Create Application extension modules&lt;br /&gt;MD.120 Create Installation routines&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Data Conversion (CV)&lt;/span&gt;&lt;br /&gt;CV.010 Define data conversion requirements and strategy&lt;br /&gt;CV.020 Define Conversion standards&lt;br /&gt;CV.030 Prepare conversion environment&lt;br /&gt;CV.040 Perform conversion data mapping&lt;br /&gt;CV.050 Define manual conversion procedures&lt;br /&gt;CV.060 Design conversion programs&lt;br /&gt;CV.070 Prepare conversion test plans&lt;br /&gt;CV.080 Develop conversion programs&lt;br /&gt;CV.090 Perform conversion unit tests&lt;br /&gt;CV.100 Perform conversion business objects&lt;br /&gt;CV.110 Perform conversion validation tests&lt;br /&gt;CV.120 Install conversion programs&lt;br /&gt;CV.130 Convert and verify data&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Documentation (DO)&lt;/span&gt;&lt;br /&gt;DO.010 Define documentation requirements and strategy&lt;br /&gt;DO.020 Define Documentation standards and procedures&lt;br /&gt;DO.030 Prepare glossary&lt;br /&gt;DO.040 Prepare documentation environment&lt;br /&gt;DO.050 Produce documentation prototypes and templates&lt;br /&gt;DO.060 Publish user reference manual&lt;br /&gt;DO.070 Publish user guide&lt;br /&gt;DO.080 Publish technical reference manual&lt;br /&gt;DO.090 Publish system management guide&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Business System Testing (TE)&lt;/span&gt;&lt;br /&gt;TE.010 Define testing requirements and strategy&lt;br /&gt;TE.020 Develop unit test script&lt;br /&gt;TE.030 Develop link test script&lt;br /&gt;TE.040 Develop system test script&lt;br /&gt;TE.050 Develop systems integration test script&lt;br /&gt;TE.060 Prepare testing environments&lt;br /&gt;TE.070 Perform unit test&lt;br /&gt;TE.080 Perform link test&lt;br /&gt;TE.090 perform installation test&lt;br /&gt;TE.100 Prepare key users for testing&lt;br /&gt;TE.110 Perform system test&lt;br /&gt;TE.120 Perform systems integration test&lt;br /&gt;TE.130 Perform Acceptance test&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;PERFORMACE TESTING(PT)&lt;/span&gt;&lt;br /&gt;PT.010 - Define Performance Testing Strategy&lt;br /&gt;PT.020 - Identify Performance Test Scenarios&lt;br /&gt;PT.030 - Identify Performance Test Transaction&lt;br /&gt;PT.040 - Create Performance Test Scripts&lt;br /&gt;PT.050 - Design Performance Test Transaction Programs&lt;br /&gt;PT.060 - Design Performance Test Data&lt;br /&gt;PT.070 - Design Test Database Load Programs&lt;br /&gt;PT.080 - Create Performance Test TransactionPrograms&lt;br /&gt;PT.090 - Create Test Database Load Programs&lt;br /&gt;PT.100 - Construct Performance Test Database&lt;br /&gt;PT.110 - Prepare Performance Test Environment&lt;br /&gt;PT.120 - Execute Performance Test&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Adoption and Learning (AP)&lt;/span&gt;&lt;br /&gt;AP.010 - Define Executive Project Strategy&lt;br /&gt;AP.020 - Conduct Initial Project Team Orientation&lt;br /&gt;AP.030 - Develop Project Team Learning Plan&lt;br /&gt;AP.040 - Prepare Project Team Learning Environment&lt;br /&gt;AP.050 - Conduct Project Team Learning Events&lt;br /&gt;AP.060 - Develop Business Unit Managers’Readiness Plan&lt;br /&gt;AP.070 - Develop Project Readiness Roadmap&lt;br /&gt;AP.080 - Develop and Execute CommunicationCampaign&lt;br /&gt;AP.090 - Develop Managers’ Readiness Plan&lt;br /&gt;AP.100 - Identify Business Process Impact onOrganization&lt;br /&gt;AP.110 - Align Human Performance SupportSystems&lt;br /&gt;AP.120 - Align Information Technology Groups&lt;br /&gt;AP.130 - Conduct User Learning Needs Analysis&lt;br /&gt;AP.140 - Develop User Learning Plan&lt;br /&gt;AP.150 - Develop User Learningware&lt;br /&gt;AP.160 - Prepare User Learning Environment&lt;br /&gt;AP.170 - Conduct User Learning Events&lt;br /&gt;AP.180 - Conduct Effectiveness Assessment&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Production Migration (PM)&lt;/span&gt;&lt;br /&gt;PM.010 - Define Transition Strategy&lt;br /&gt;PM.020 - Design Production Support Infrastructure&lt;br /&gt;PM.030 - Develop Transition and Contingency Plan&lt;br /&gt;PM.040 - Prepare Production Environment&lt;br /&gt;PM.050 - Set Up Applications&lt;br /&gt;PM.060 - Implement Production Support Infrastructure&lt;br /&gt;PM.070 - Verify Production Readiness&lt;br /&gt;PM.080 - Begin Production&lt;br /&gt;PM.090 - Measure System Performance&lt;br /&gt;PM.100 - Maintain System&lt;br /&gt;PM.110 - Refine Production System&lt;br /&gt;PM.120 - Decommission Former Systems&lt;br /&gt;PM.130 - Propose Future Business Direction&lt;br /&gt;PM.140 - Propose Future Technical Direction&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-4603581766417027445?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/4603581766417027445/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=4603581766417027445&amp;isPopup=true' title='12 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4603581766417027445'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/4603581766417027445'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/04/hai-friends.html' title='AIM Documents .............'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>12</thr:total></entry><entry><id>tag:blogger.com,1999:blog-51044913973242142.post-981148470800266937</id><published>2007-04-24T23:34:00.000+05:30</published><updated>2007-04-24T23:42:32.674+05:30</updated><title type='text'>Oracle Implementation Methodalagy</title><content type='html'>&lt;div align="justify"&gt;&lt;span style="font-family:arial;font-size:85%;"&gt;                                SUMMARY NOTES ON AIM&lt;br /&gt;&lt;br /&gt;&lt;span style="color:#ff0000;"&gt;Application Implementation Method&lt;/span&gt; is a provan approach, which specifies all the  activities which are required to implement oracle applications successfully.&lt;br /&gt;&lt;br /&gt;The scope of the AIM is &lt;span style="color:#3366ff;"&gt;enterprise wide&lt;/span&gt;.&lt;br /&gt;&lt;br /&gt;There are eleven processes of implementation.&lt;br /&gt;&lt;br /&gt;1. Business Process Architecture[BP]&lt;br /&gt;&lt;br /&gt;This phase explains&lt;br /&gt;      Existing business practices&lt;br /&gt;      Catalog change practices&lt;br /&gt;      Leading practices&lt;br /&gt;      Future practices&lt;br /&gt;&lt;br /&gt;2. Business Requirement Definition[RD]&lt;br /&gt;&lt;br /&gt;This phase explains about the&lt;br /&gt;      Base line questionnaire and&lt;br /&gt;     The gathering of information.&lt;br /&gt;&lt;br /&gt;&lt;br /&gt;3. Business Requirement Mapping[BR]&lt;br /&gt;&lt;br /&gt;In this phase we can match all the requirements of business with the standard functionality of the oracle applications.&lt;br /&gt;&lt;br /&gt;If all the requirements match with oracle standard (with out customization) functionality then, it is called as vanilla implementation).&lt;br /&gt;&lt;br /&gt;4. Application and Technical Architecture [TA]&lt;br /&gt;&lt;br /&gt;Explains the infrastructure requirements to implement oracle applications.&lt;br /&gt;For example:&lt;br /&gt;      desktops&lt;br /&gt;      software&lt;br /&gt;      hardware&lt;/span&gt;&lt;/div&gt;&lt;div align="justify"&gt;&lt;span style="font-family:arial;font-size:85%;"&gt;      people...etc&lt;br /&gt;&lt;br /&gt;5. Build and Module Design[MD]&lt;br /&gt;&lt;br /&gt;In this phase concentrate on developing the new functionality which is required by the client.&lt;br /&gt;This is called customization.&lt;br /&gt;In this phase explains how to design a forms, database and reports...&lt;br /&gt;&lt;br /&gt;6. Data Conversion:[CV]&lt;br /&gt;&lt;br /&gt;Is the process of converting or transferring the data from legacy system to oracle applications? This is called as data migration.&lt;br /&gt;Ex: transferring the closing balances of the previous year as an opening balances to next year.&lt;br /&gt;&lt;br /&gt;7. Documentation:[DO]&lt;br /&gt;I&lt;br /&gt;n this phase we have to prepare module wise user guides and implementation manuals which helps in the implementation.&lt;br /&gt;&lt;br /&gt;8. Business System Testing:[TE]&lt;br /&gt;&lt;br /&gt;A process of validating the setup’s and the functionality by a tester to certify its status is allied business system testing. It is done by a functional consultant.&lt;br /&gt;&lt;br /&gt;9. Performance Testing:[PT]&lt;br /&gt;&lt;br /&gt;Performance testing means evaluation of transaction saving time, transaction retrieval times. It is done by a technical team.&lt;br /&gt;&lt;br /&gt;10; Adoption and Learning.[AP]&lt;br /&gt;&lt;br /&gt;This phase explains about the removal of the legacy system of the client. The entire user should be trained with new oracle applications. In this phase we have to prepare user manuals.&lt;br /&gt;&lt;br /&gt;11. Production Migration[PM]&lt;br /&gt;&lt;br /&gt;A process of decommissioning of legacy system and the usage of new oracle application system begins in this phase.&lt;/span&gt;&lt;/div&gt;&lt;div class="blogger-post-footer"&gt;&lt;img width='1' height='1' src='https://blogger.googleusercontent.com/tracker/51044913973242142-981148470800266937?l=cnubandi.blogspot.com' alt='' /&gt;&lt;/div&gt;</content><link rel='replies' type='application/atom+xml' href='http://cnubandi.blogspot.com/feeds/981148470800266937/comments/default' title='Post Comments'/><link rel='replies' type='text/html' href='http://www.blogger.com/comment.g?blogID=51044913973242142&amp;postID=981148470800266937&amp;isPopup=true' title='13 Comments'/><link rel='edit' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/981148470800266937'/><link rel='self' type='application/atom+xml' href='http://www.blogger.com/feeds/51044913973242142/posts/default/981148470800266937'/><link rel='alternate' type='text/html' href='http://cnubandi.blogspot.com/2007/04/oracle-implementation-methodalagy.html' title='Oracle Implementation Methodalagy'/><author><name>Cnu Bandi</name><email>noreply@blogger.com</email><gd:image rel='http://schemas.google.com/g/2005#thumbnail' width='25' height='32' src='http://2.bp.blogspot.com/-m_6plS_D5QY/TdFhs-EX_AI/AAAAAAAAAxw/6yDUHYTpQI0/s220/9-en-b1e6cb150b5896e9bdeb25b72876d111.gif'/></author><thr:total>13</thr:total></entry></feed>
