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Purpose
This tutorial covers creating and generating recurring journals.
Time to Complete
Approximately 30 minutes.
Overview
This tutorial covers creating templates for recurring journals and generating and approving recurring journals.
Scenario
You have a fixed monthly amount to be debited to your investment account. You create a recurring journal to create this monthly journal automatically.
Prerequisites
Before starting this tutorial, you should: 1. 2. 3. 4. Have access to or have installed Oracle Hyperion Financial Management, Fusion Edition 11.1.2 Have installed and opened a Financial Management application Have created a child entity (WestSales is used for this tutorial.) Opened the period for which you are generating journal entries
1. Open your Financial Management application, and in the Browser View pane, navigate to Tasks > Journal Tasks > Manage Journal Templates.
2. In the content pane, select the Recurring tab, and click New.
5. In the POV for Value, select <Entity Curr Adjs>, and click OK.
6. Under Edit Recurring Template, enter the following information: Label RT1 Balance Type Balanced Security US Description Investments Bought - Recurring
7. Place your cursor in the first cell in the Account column, click Pick Members, and enter the following member information: Account Investments Cash ICP [ICP None] [ICP None] Business [None] [None] Markets [None] [None] Grades [None] [None] Unit/Flows Increases Decreases Debit 250 250 Credit
8. Click Save.
3. Select the check box to the left of RT1, and click the Generate button.
4. Review the point of view for the journal, and click OK.
5. Click OK.
6. In the Browser View pane, select Tasks > Journal Tasks > Process Journals.
The journal is displayed in the list, its status is Approved, and it is ready to be posted.
Summary
In this tutorial, you learned how to: