
Master the end-to-end o2c cycle in Oracle Apps r12, from creating a sales order with header and lines to booking, shipping, invoicing, and receipt posting, plus related interface tables.
Track how a sales order moves from booked to awaiting shipment, monitor line statuses and open flags, and link deliveries, shipping interfaces, and demand through delivery assignments.
Learn to create a sales order and invoice, run the auto invoice matching workflow, populate distributions and tax lines, then review the resulting journal entries.
Learn to create cash receipts against invoices, apply them, and post to the general ledger in Oracle Apps R12 O2C cycle, tracking receipts, payment schedules, and invoices.
Explore the procure-to-pay cycle in Oracle Apps R12, from inventory items and interface tables or APIs to requisitions, purchase orders, receipts, and AP invoices and payments.
Learn to create items for the P2P cycle in Oracle Apps R12 using interface tables and import items, assign to organizations, and manage revisions and categories.
Create a purchase requisition in Oracle Apps R12 via interface tables and standard programs, populate lines and distributions, review approval, and trigger the purchasing workflow toward purchase orders.
Create purchase orders from requisitions using backend imports and interface tables, and apply two-way or three-way matching for orders, invoices, and receiving in the P2P workflow.
Learn to create AP invoices using interface tables or back-end APIs, populate data into interface, run tables open interface program, and push accounting to the general ledger with distributions.
Learn how to receive items against a purchase order in Oracle Apps R12, including inventory receipts, shipment creation, interface tables, and the standard program that processes receiving transactions.
Create a payment against an invoice in payables using the payments form, then post to the general ledger via create accounting, linking AP payments to the journal.
1. Create Requisition
2. Create Purchase Order
3. Create Receipt
4. Create AP Invoice
5. Create Payment
6. Post To GL
7. Bases tables For requisition
8. Base tables For Purchasing
9. Base tables for Receiving transactions
10. Base tables for AP invoice and AP Invoice payments
11. Base Tables For XLA and GL
12 .Roles required to perform P2P Cycle
13 .Basics for Payment Format (Manage Formats)
14.Payment Documents for bank accounts (Manage Bank Accounts )
15 . Payment Process Request / profile
16. How to create item / item class
17.base tables for item and item class
P2P CYCLE:
INVENTORY=>
REQUIESTITION=>
RFQ=>
QUOTATION=>
QUOTATION ANALYSIS=>
PURCHASE ORDER =>
INVOICE =>
VALIDATE INVOICE =>
PAYMENT =>
TRANSFER TO GL =>
UNPOSTED JOURNAL=>
POST THE JOURNAL IN GL
Order to Cash (O2C) Cycle with in Oracle Apps
Enter the Sales Order
Book the Sales Order
Launch Pick Release
Ship Confirm
Create Invoice
Create the Receipts
Transfer to General Ledger
Journal Import
Posting
Order to Cash Cycle
The Order to Cash Process flow starts with entering the order with a standard item into system. When you enter an order, the item are validated in oracle inventory, the price is calculated for the items using the pricing engine; the availability of the items are checked and may be reserved. Once all the required fields are entered on both the header and the lines, you can book the order.
Order Management receives detailed item information from the Inventory application and price list information from the Pricing application. Orders and returns can be entered manually or imported through an iformation is transferred to the General Ledger by the Inventory and Receivables applications.
The required fields to enter on the sales order header are the customer name or number and order type. Other values such as Ship-To Address, Bill-To Address, Shipping Method, and Price List default.