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January 2017
TABLE OF CONTENTS
REVISION HISTORY ............................................................................................................................................. 4
OVERVIEW ......................................................................................................................................................... 5
Security & New Features .................................................................................................................................................. 5
Give Us Feedback.............................................................................................................................................................. 5
FINANCIALS...................................................................................................................................................... 38
ADVANCED COLLECTIONS .............................................................................................................................................. 38
Collections Work Area .................................................................................................................................................... 38
Case Folder ..................................................................................................................................................................... 42
ASSETS ...................................................................................................................................................................... 45
Assets Statutory Reports ................................................................................................................................................ 45
EXPENSES................................................................................................................................................................... 47
Global Per Diem Policies ................................................................................................................................................. 47
PAYMENTS ................................................................................................................................................................. 51
Payment Approvals......................................................................................................................................................... 51
RECEIVABLES .............................................................................................................................................................. 59
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Recurring Billing .............................................................................................................................................................. 59
Installment Update ......................................................................................................................................................... 63
ADFdi Ribbon Tab Button Changes ................................................................................................................................. 64
Bank Account Transfer Information for Completed Transactions .................................................................................. 68
TRANSACTIONAL BUSINESS INTELLIGENCE (OTBI) .............................................................................................................. 70
Improved Payables and Receivables Reconciliation Drilldown Scalability ...................................................................... 70
Usability Improvements for Assets ................................................................................................................................. 73
Usability Improvements for General Ledger................................................................................................................... 75
Receivables Descriptive Flexfields .................................................................................................................................. 77
General Ledger Descriptive Flexfields............................................................................................................................. 78
Global Descriptive Flexfields ........................................................................................................................................... 78
Expenses Descriptive Flexfields ...................................................................................................................................... 79
Improved Support for Audit ........................................................................................................................................... 79
Subject Area Search ........................................................................................................................................................ 79
Save a Column ................................................................................................................................................................ 80
New Print & Export Options ........................................................................................................................................... 81
HTML5 Graph Style ......................................................................................................................................................... 82
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REVISION HISTORY
This document will continue to evolve as existing sections change and new information is added. All
updates are logged below, with the most recent updates at the top.
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OVERVIEW
This guide outlines the information you need to know about new or improved functionality in Oracle
Financials Cloud Release 12 and describes any tasks you might need to perform for the update. Each
section includes a brief description of the feature, the steps you need to take to enable or begin using
the feature, any tips or considerations that you should keep in mind, and the resources available to help
you.
We would like to remind you if your system has modified security structures you may need to advise
your security administrator of new features you would like to use.
GIVE US FEEDBACK
We welcome your comments and suggestions to improve the content. Please send us your feedback at
oracle_fusion_applications_help_ww_grp@oracle.com
UPGRADE/UPDATE TASKS
This section gives you information to help you plan, deploy and validate your upgrade to this release.
For Oracle ERP Cloud, we have published Oracle ERP Cloud: Performing Your Release 12 Upgrade on
My Oracle Support.
This document includes a list of all Pre- and Post-Upgrade steps for ERP.
We frequently update this document so dont forget to check back and get the latest information before
you start your upgrade.
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RELEASE FEATURE SUMMARY
Some of the new Release 12 features are automatically available to users after the upgrade and some
require action from the user, the application implementation administrator, or Oracle.
The table below offers a quick view of the actions required to enable each of the Release 12 features in
Oracle Financials Cloud.
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Action Required to Enable Feature
End User Administrator Oracle Service
Automatically Action Action Request
Feature Available Required Required Required
Assets
Assets Statutory Reports
Expenses
Global Per Diem Policies
Payments
Payment Approvals
Receivables
Recurring Billing
Installment Update
ADFdi Ribbon Tab Button Changes
Bank Account Transfer Information for Completed
Transactions
Transactional Business Intelligence (OTBI)
Improved Payables and Receivables Reconciliation
Drilldown Scalability
Usability Improvements for Assets
Usability Improvements for General Ledger
Receivables Descriptive Flexfields
General Ledger Descriptive Flexfields
Global Descriptive Flexfields
Expenses Descriptive Flexfields
Improved Support for Audit
Subject Area Search
Save A Column
New Print & Export Options
HTML5 Graph Style
Financials for Latin America
Chart of Accounts for Mexico
Journals for Mexico
Trial Balance Report for Mexico
Auxiliary Report for Mexico
Electronic Invoicing Compliance
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COMMON TECHNOLOGIES AND USER EXPERIENCE
This section gives an overview of common features available in Release 12. These are the overall
investments in technology and user experience that Oracle has focused on in this release.
USER EXPERIENCE
The new look and feel of the transaction pages (introduced in Release 11) is expanded to include all
setup pages in Oracle Financials Cloud in Release 12. All pages throughout the application now have a
consistent style.
Some fields, buttons and regions have been moved on the page in order to provide a more effective and
accessible work area on any device.
A new set of icons with a simplified appearance has been introduced, allowing you to access functions
and perform actions on the page.
STEPS TO ENABLE
The Release 12 function icons are grey. Enabled icons are dark grey, disabled icons are light
grey.
Hover over an icon to see a tooltip describing the icon.
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ADFDI RIBBON ICONS
In ADFdi spreadsheets, certain buttons are changed to Ribbon icons to group together actions in one
place.
STEPS TO ENABLE
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APPLICATIONS SECURITY
Oracle Fusion Applications Security provides a single console where IT Security Managers and
Administrators can perform various functions including user lifecycle management, role definition,
security policy management(both functional and data), role hierarchy maintenance, username and
password policy administration, and certificate management. The console also enables users to simulate
the effect of security changes, to run security reports, and download a connector for integration with
Microsoft Active Directory.
In Release 12, Oracle Fusion Applications Security offers several new capabilities that offer customers
the following benefits:
A Simplified User Experience for the IT Security Manager - Prior to Release 12, security
administration functions were distributed across Oracle Identity Management (OIM) and
Authorization Policy Manager (APM). In Release 12, these functions are delivered through a
single interface the Security Console. OIM and APM are no longer available in R12.
Easy Integration with Identity and Access Management (IDM/IAM) Systems New
capabilities to synchronize user account information with Identity and Access Management
(IDM/IAM) systems. This synchronization enables the delivery of a Single Sign-On
experience through these systems.
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For Microsoft Active Directory (AD) and Oracle Identity Management (OIM), customers can
download and install connectors that will automatically synchronize user account
information between Oracle Fusion Applications and these IDM systems. As in R11,
customers must continue to log a Service Request (SR) to set up federated Single Sign-On
(SSO) between these systems. Once the federation is enabled, the connectors will
synchronize information.
Release 12 also delivers a REST API based on the SCIM (System for Cross-Domain Identity
Management) standard. Customers can use this API to create user accounts, modify user
attributes (e.g. email), enable/disable users, and fetch user account and role information.
Upgrade-Safe Reference Role Model - Starting from Release 12, pre-defined roles that are
shipped with Oracle Applications Security will be locked down. Customers will not be able to
modify the functional and data security policies that are associated with these roles. They
can, however, add new data security policies to these pre-defined roles. In addition,
privileges and resources are protected. Users cannot create or modify these artifacts
Locking down these security artifacts enables safe upgrades to pre-defined roles, since the
possibility of conflict with customer introduced changes to these roles is now eliminated.
This, in turn enables customers to safely adopt new enhancements that may be delivered
with pre-defined roles in future releases. As in R11, customers can make copies of pre-
defined roles and freely customize these copies.
Please refer to the Upgrading Applications Security in Oracle ERP Cloud for any steps that
may be required to prepare for and adopt this feature.
Enhanced Self-Service Capabilities - Administrators are able to manage the entire user
lifecycle. They can customize how notifications are generated and sent for various user
lifecycle events including user account creation, and password management.
Administrators can also tailor username and password generation by choosing from a list of
shipped policies.
Please refer to the Upgrading Applications Security in Oracle ERP Cloud for any steps that
may be required to prepare for and adopt this feature.
A new data security model was introduced in Release 11 that only applied to new Oracle ERP Cloud
customers. In Release 12 all users will now be assigned to the appropriate data sets using the new
Manage Data Access for Users page, without the need for assigning data roles generated from data role
templates. Since data roles are no longer used, they will no longer be automatically generated upon the
creation of a new data security element, such as a new business unit, a new ledger, etc.
While customers who started using Oracle ERP Cloud in Release 11 have been introduced to this new
model, customers who were using Oracle ERP Cloud prior to Release 11 have continued to use the data
role based data security in Release 11. In Release 12, the usage of generated data roles for data security
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will be discontinued, and customers who are using the data role based model will be upgraded to use
the new user-role-data assignment model.
To access the Manage Data Access for Users page, you must navigate to Setup and Maintenance >
Manage Data Access for Users task.
This new feature is available to all products in Oracle ERP Cloud, including Financials, Procurement,
Project Portfolio Management, Supply Chain Management, and Incentive Compensation. Specifically,
this new feature is available to the following reference job roles:
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Reference Job Role Assignable Data Security Context
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Reference Job Role Assignable Data Security Context
STEPS TO ENABLE
As data assignments are specific to a role, a user must first be assigned to a role before data
assignments can be created in the Manage Data Access for Users page. When selecting a role, the
selection is limited to the roles that are currently assigned to the selected user.
Only data roles generated from seeded data role templates will be upgraded, as the user-role-data
assignment records require associated data security policies against the roles in order to drive data
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security, and the required data security policies will only be present against the corresponding seeded
roles. Instructions to manually upgrade custom data roles will be provided in a separate upgrade
document.
KEY RESOURCES
You can now create and manage implementation user accounts within Oracle Fusion Applications
Security. You can assign roles to these user accounts using the following navigation: Tools > Security
Console > User tab. You can also search, retrieve, and manage user accounts automatically created for
employees, contingent workers, supplier contacts, or partner contacts.
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Add User Account Page
STEPS TO ENABLE
ROLE INFORMATION
The following function security privileges are required for this feature.
KEY RESOURCES
For more information on the Security Console, go to the Help Center for the following guide:
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ADMINISTRATOR PASSWORD MANAGEMENT
As an administrator, you can manage passwords of other users using the Security Console. You can
auto-generate or manually enter a password for a user account. You can also define password lifecycle
and complexity policies. Passwords will be automatically validated against these policies.
STEPS TO ENABLE
KEY RESOURCES
For more information on the Security Console, go to the Help Center for the following guide:
You can now manage your own user account password using the Security Console. The password will be
automatically validated against the defined password lifecycle and complexity policies.
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Self-Service Password Reset Page
STEPS TO ENABLE
As an administrator, you can now lock user accounts. If you lock a user account, you will be temporarily
preventing the user from logging in with that user account. You can also unlock a locked user account.
STEPS TO ENABLE
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ENHANCED ROLE VISUALIZATION
You can now view only certain components of a role in the graphic visualizer. You can view only the
privileges, aggregate privileges or roles assigned to a role. You can also view the graph in full screen
mode and pan over a specific region in the graph.
For complex roles, these features enable you to reduce the amount of information visualized and to
focus on the area within the role hierarchy that requires your attention.
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View Only the Inherited Roles for a Role
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Pan and View Top Left Region of the Graph
STEPS TO ENABLE
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TABULAR ROLE HIERARCHY VIEW
You can now view role hierarchies in a tabular view. You can switch between the graphic visualizer view
and the tabular view. You can also export the date displayed in the tabular view.
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Tabular View of Direct and Indirectly Assigned Privileges for a Role
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Export of Direct and Indirectly Inherited Privileges for a Role
STEPS TO ENABLE
You can now search and quickly locate security artifacts (nodes) in the role hierarchy visualization. You
can search for privileges, roles or users in the visualization.
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Search in Role Hierarchy Graph
STEPS TO ENABLE
You can now define the user name generation rules used to auto-generate the user name in Oracle
Fusion Applications Security. User name generation rules can be based on the users first and last
names, e-mail or person number. You can also choose to use a system generated user name if the rule
fails to generate a user name.
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User Name Generation Rules Region in the Administration Page
STEPS TO ENABLE
If your company submitted a service request for Oracle to set up a custom username generation rule,
review the Validate User Lifecycle Settings topic in the Upgrade Guide for Oracle ERP Cloud Security.
PASSWORD POLICIES
You can now define policies for password management. These policies can define the duration for
various password lifecycle events like password expiration and password warning generation. You can
also set the complexity of generated passwords by choosing from a pre-defined list of rules.
STEPS TO ENABLE
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TIPS AND CONSIDERATIONS
If your company submitted a service request for Oracle to set up a custom password policy, review the
Validate User Lifecycle Settings topic in the Upgrade Guide for Oracle ERP Cloud Security.
ROLE INFORMATION
NOTIFICATION TEMPLATES
You can now define custom notification templates for user account life cycle events. You can also use
pre-defined notification templates.
These templates will be used to generate notifications for events like user account created, user
password reset and user password expiry warning.
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Edit Notification Template Page
STEPS TO ENABLE
If your company submitted a service request for Oracle to set up a custom notification template, review
the Validate User Lifecycle Settings topic in the Upgrade Guide for Oracle ERP Cloud Security.
You can now identify a predefined (factory shipped) Oracle role when viewing the role. Predefined
Oracle roles are locked and you cannot customize the Oracle delivered functional and data security
policies associated with these roles. You can, however, add data security policies to these roles.
Predefined Oracle roles are displayed in a different color in the graph visualizer.
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Predefined Role Indicator in the Edit Role Page
STEPS TO ENABLE
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BRIDGE FOR MICROSOFT ACTIVE DIRECTORY
Simplify Single Sign-On with Microsoft Active Directory by downloading and installing the Active
Directory Bridge from the Security Console. Automatically synchronize user account information
between Oracle Fusion Applications Security and Microsoft Active Directory.
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Active Directory Bridge Synchronization Status Page
STEPS TO ENABLE
You can now generate a report that lists password changes made by users. The report can be generated
for changes made by specific users or for all changes made during a specific period.
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User Password Changes Audit Report Process Details Page
STEPS TO ENABLE
ROLE INFORMATION
STEPS TO ENABLE
You can now optionally Integrate with your Identity Management solution for user and role
management using industry standard System for Cross-domain Identity Management (SCIM) REST APIs
and ATOM feeds.
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STEPS TO ENABLE
PASSWORD RESET
The password reset flow has been changed in Release 12. A notification email will be sent to the user
who requests a password reset. The user will be required to click on this link, within a specific period of
time, to change the password. This replaces the previous flow where users were required to answer a
series of challenge questions to reset the password.
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User Reset Password Page
STEPS TO ENABLE
SECURITY CONSOLE
The unified security administrator interface, combined with the ability to safely upgrade the reference
security implementation will result in the following changes in functionality in the Security Console.
All User Account information including password changes and lock/unlock status are
managed in the security console.
Roles are now managed directly in the Security Console and are no longer managed within
Oracle Identity Manager or Authorization Policy Manager.
Users can view, create or modify roles without first selecting an application.
Users cannot create or modify privileges. They can continue to grant privileges to roles
Users cannot create or modify resources.
Users cannot grant resources directly to role. Resources are now only granted to privileges.
STEPS TO ENABLE
This section provides product-specific information that you need when implementing new Release 12
features in your existing roles.
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If you are not using the predefined reference roles, then you need to add the function security privilege
to relevant custom job roles.
This table identifies the required function security privilege and the predefined role that automatically
inherits the privileges during the upgrade.
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INTEGRATION
The Financials Data Extract gives businesses the capability to extract complete or incremental financials
data from the Oracle ERP Cloud to seamlessly integrate with on-premise, legacy, or other cloud systems.
Business users can launch the outbound extract process from either :
The following table outlines the key primary financials data extracts available:
Oracle ERP Cloud integration with comprehensive transaction tax management solutions provided by
tax partners is currently available for tax content, tax calculation and determination, and tax reporting.
Customers can elect to leverage these partner transaction tax solutions independently or together in
unison, depending upon the different transaction tax needs sought across unique market segments and
industries.
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The following summary outlines the key benefits in adopting partner transaction tax management
solutions:
Oracle Planning and Budgeting Cloud Service enables organizations of all sizes to quickly adopt world-
class planning and budgeting applications, driving world-class functionality beyond finance across the
enterprise, with flexible deployment options and virtually no learning curve. Integration of Planning and
Budgeting with General Ledger allows users to take advantage of a joint offering which provides best in
class functionality for both budgeting and accounting.
The integration between Planning and Budgeting and the General Ledger keeps budget and actual
amounts synchronized for financial reporting and analysis. You can use a seamless method to integrate
Oracle Financials Cloud general ledger data with the Oracle Enterprise Performance Management
Cloud if you use Oracle ERP Cloud Release 11 or higher. This updated integration allows you to simply
pick the desired source ledger from the Oracle Financials Cloud general ledger, set up a few simple
mappings and then push a button to pull the data into the EPM Cloud applications. This integration can
be run manually, or scheduled for a specific time, and does not require manual steps in the Oracle
Financials Cloud or the EPM Cloud services.
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FINANCIALS
Oracle Financials Cloud offers an integrated financial management suite that is designed to automate,
streamline, and manage financial processes end-to-end. It simplifies controls, increases productivity,
and improves business decisions through a broad suite of capabilities around general ledger, accounts
payable, accounts receivable, fixed assets, expenses, collections, and cash management, as well as
centralized accounting, tax, payment, and intercompany engines.
ADVANCED COLLECTIONS
Use the new Collections work area to gain comprehensive control of your assigned delinquent
customers and collections tasks. Efficiently prioritize work with at-a-glance reviews of current
collections data, conveniently summarized into four infotiles. The summary information on each infotile
appears in the corresponding detail table for your review. Take immediate action on pending items in
the detail tables, or drill down to individual pages for more complex activities.
1. Access the work area by clicking the Collections icon on the springboard.
2. Use the four infotiles on the Collections work area to view each detailed table.
3. Use the Delinquent Customer infotile to review your delinquent customers. The detail table
displays the customer, number of delinquencies, work status, work status date, customer score,
and assigned strategy.
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Delinquent Customers Infotile and Delinquent Customer list
4. After drilling in to delinquent customer details, use the Customer Hierarchy to navigate to
individual customer accounts and bill-to-sites.
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Customer Hierarchy
5. Use the Promises infotile to review detailed information on all collectible promises and the
subset of promises that have been broken. The detail table displays information about
delinquent customers, account transactions, promised amount, promised date, and status.
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Promises Infotile and Promise details
6. Use the Strategy Tasks infotile to review information on all your manual strategy tasks.
Complete, cancel and reassign strategy tasks directly in this work area.
7. Use the Activities infotile to manually review activities. You can update the activities in this
work area.
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Activities infotile
STEPS TO ENABLE
CASE FOLDER
The Advanced Collections Case Folder enables transactions to be grouped and collections activities to be
performed against the entire group at one time. Once the transactions are grouped in a Case Folder, it
is no longer necessary to drill into individual transactions to understand the effectiveness of collection
efforts. Using the case number, use the new Case Folder page to manage and take actions against the
set of transactions. This will increase collections efficiency, save time and effort for customers that have
a large number of similar invoices that can be grouped into a Case Folder.
1. Create a Case Folder by selecting multiple transactions and using the Actions menu > Create
Case Folder.
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2. Manage the Case Folder in the new page. Perform collections activities against the entire set of
transactions.
3. Add or remove transactions from the Case Folder using the Select and Add icons in the Case
Folder page.
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STEPS TO ENABLE
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ASSETS
Assets simplifies fixed asset accounting tasks and automates asset management. Use Assets as a unified
source of asset data from both Oracle Applications Cloud and external feeder systems to provide
visibility into worldwide assets. Standard management tasks, such as asset additions, asset transfers,
disposals, reclassifications, financial adjustments, and legacy data conversions can be streamlined with
automated business flows. Standard accounting, operational, and registry reports are available for ease
of reconciliation and analysis.
Stay in total control of assets by tracking asset sources. Track new asset additions or adjustments by
source, including the related invoice details for any period range.
The following screen captures illustrate the feature and its benefits.
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Track cost changes to existing assets by their sources
Comply with US Inland Revenue Property Tax Sections 1245 and 1250. Track amounts for sale held
longer than the capital gain thresholds. The new Sales or Exchanges of Property Report expedites Form
4797 Inland Revenue compliance.
STEPS TO ENABLE
Set up capitalization thresholds for your category book defaults to ensure ease of property
tax reporting.
KEY RESOURCES
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EXPENSES
With the addition of per diem policies, claim per diem, which are predetermined travel expense
amounts, based on a set of criteria. Setup per diem policies to reimburse meals, accommodations, and
incidental expenses to ensure compliance with local regulations.
When per diem policies are enabled, the application automatically calculates the per diem amount
based on the trip details entered in the expense report. Managers and auditors can review the per diem
details in the expense report approval notifications.
Per diem policies provide a broad set of configurable criteria to support global per diem requirements.
Define the rules governing per diem reimbursement and the applicable rates in a per diem policy. The
following options are available:
Specify the calculation method for per diem rates by selecting one of the following options:
Sum of Separate Rates: A sum of rates for meals, accommodations, and/or incidentals.
Daily Time Range Rates: Rate varies depending on the duration of each day of the trip, such
as midnight to midnight.
Sum of Separate Time Range Rates: A sum of rates for meals, accommodations, and/or
incidentals. The rate varies based on the duration of the trip.
Rate Currency
Define the per diem rates in a single currency or by location currencies. For example, you
can define the per diem rate as 150 USD in Los Angeles and 200 USD in London. Alternately,
define them in the location currency as 150 USD in Los Angeles and 150 GBP in London.
Rate Includes
Define the rates included in the total per diem amount and the deductions that can be
applied if free meals or free accommodation are applicable. When deductions are enabled
for a policy, free meals and accommodation must be indicated in expense reports.
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Rate Determinants
Use this option if the rate varies by additional factors, such as location or role.
Rate Rules
Use this option if the per diem rates vary by departure and arrival time, same day travel,
long-term travel, or weekend and holiday travel. Additionally, specify per diem eligibility
criteria.
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Deductions and First and Last Day Rules
After defining per diem reimbursement rules, define the rates. Complex per diem policies can
be created using a spreadsheet. When a per diem policy is enabled, the application
automatically calculates the rates based on the trip details.
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Per Diem Details in Expense Entry
STEPS TO ENABLE
To enable policies, complete the following tasks, which are accessible from the Define Expense Policies
and Rules task list:
1. Manage Policies by Expense Category: Define per diem policies and activate them for use. You
can also assign a single policy to multiple expense types when applicable.
2. Manage Expense Report Templates: Define expense types and assign policies.
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PAYMENTS
Oracle Payments provides a highly configurable and robust engine to disburse and receive payments.
Oracle Payments is a fundamental part of the Oracle Applications architecture and is integrated with
multiple products that require support for payment processing. As the central payment engine, Oracle
Payments processes invoice payments from Oracle Payables and settlements against credit cards and
bank accounts from Oracle Receivables. Oracle Payments provides the infrastructure needed to connect
these applications and others with third-party payment systems and financial institutions.
PAYMENT APPROVALS
The payment approval feature enables payments to be sent to approvers for review before final
payments are made to suppliers. Approvers can approve or reject payment process requests from e-
mails or payment approval worklist notifications. Payment approval allows management to control
payments by prioritizing available funds to use them effectively.
STEPS TO ENABLE
1. To enable payment approvals, navigate to: Setup and Maintenance > Search: Manage
Disbursement System Options > Manage Disbursement System Options page.
2. Select the Enable payment approval option.
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Enable Payment Approval Option on Manage Disbursement System Options
1. When the payment approval option is enabled on the Manage Disbursement System Options
page, only payment process requests initiated from Oracle Payables are routed for approval.
2. To configure payment approval rules, perform the following steps:
Use Setup and Maintenance to navigate to the Business Process Management (BPM) Worklist
application.
a. Navigate to: Setup and Maintenance > Search: Define Approval Management for Financials.
b. Click on the Manage Task Configurations for Financials link.
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c. On the BPM Worklist page, click the Edit icon.
d. Click the PaymentApproval (11.1.12.0.0) task.
e. Select the Assignees section.
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3. Configure a payment approval rule to meet your business requirement.
Your business wants to route all payments that are more than 5,000 USD to approvers.
Associate the pay group called Morethan5k with invoices greater than 5,000 USD.
The following rule routes all payments to the user finuser2 when a payment process request
process invoices with pay group equal to Morethan5K.
4. The payment process request is a straight through process and user intervention is not required
unless payments need to be reviewed and stopped.
5. When a payment process request is submitted with the payment approval option enabled, the
payment approval process is automatically triggered after the payment process request reaches
the Review Proposed Payments stage.
6. Navigate to: Overview page > Tasks icon > Manage Payment Process Requests link > Manage
Payment Process Requests page. After the payment approval process is triggered, the status of
the payment process request is set to Payments Approval Initiated.
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Payment Process Request in Payments Approval Initiated Status
7. After the payment approval process is initiated for a payment process request, approvers
receive e-mails, as well as payment approval worklist notifications.
8. Approvers can only approve or reject an entire payment file within a payment process request
and not individual payments within a payment file.
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9. When the payment approval process is in progress, modifications to a payment process request
are only allowed by active approvers.
10. Approvers can remove payments from the payment process request and approve it.
Removal of Payments from a Payment Process Request in the Payments Approval Initiated Status
11. Approve or Reject actions are enabled only for active approvers of the payment process
request. These actions are not available to other nonapprovers.
Approve or Reject Actions Available for a Payment Process Request in the Payments Approval Initiated Status
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12. The Withdraw Approval action is enabled only when the payment process request status is
Payments Approval Initiated. This action is performed by the submitter or approver of the
payment process request.
Withdraw Approval Action Available for the Payment Process Request in Payments Approval Initiated Status
13. If required, any user can select the Terminate Payment Process action.
Terminate Payment Process Action for a Payment Process Request in the Payments Approval Initiated Status
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14. When approvers receive payment approval workflow notification by e-mail, they can
conveniently approve or reject a payment process request by e-mail.
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RECEIVABLES
Receivables provides a comprehensive solution for running day-to-day accounts receivable operations.
It includes services for customer billing and payment activities, revenue recognition and adjustments,
reviewing receivable balances, and reconciliation to the general ledger. Receivables provides
SmartReceipts, an automated cash application solution that is unique in the industry. Role-based work
areas for Billing and Accounts Receivable provide vivid, real-time displays of transaction and customer
account information. You can actively monitor all of your receivables events and drill down to details
using the sophisticated and easy-to-use reporting tools
RECURRING BILLING
Recurring Billing captures customer bill plan information with recurring billing details and automatically
generates recurring transactions at periodic intervals based on the plan. You can modify bill plan
attributes for future transactions and review bill plan historical changes. After generating the
transactions, you can review them.
1. Launch the Manage Recurring Bill Plans page from the Billing work area.
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2. Query and review bill plans in the Manage Recurring Bill Plans page.
3. From the Manage Recurring Bill Plans page, click on the plus (+) icon to open the Create
Recurring Bill Plan page. Use this page to create a new bill plan that captures customer details:
Currency, Customer Account/Site, Payment Terms, Billing Frequency, Transaction Date, and
Item or Memo Line information.
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4. Use the Generate Recurring Billing Data process to generate transaction lines in the interface
table for recurring bill plans. The process selects active bill plans according to the system date
and other selection criteria and generates transaction interface lines for the applicable
customers. After running this program, run the Import AutoInvoice program to import the
transactions into Receivables.
5. Review the transactions generated from the recurring bill plan. Go to the Manage Recurring Bill
Plans page, search for a bill plan, and click on the Review Transactions button.
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6. From the Manage Recurring Bill Plans page, you can also review and edit a bill plan. Use the Edit
Recurring Bill Plan page to inactivate the plan, or to modify details of the plan according to the
contract terms negotiated with your customer. You can change the conversion rate information,
contract end date, customer bill-to and ship-to information, payment terms, receipt method,
quantity and price, and add or delete bill plan lines.
7. Use the Manage Recurring Bill Plans page to select a bill plan to copy, or to review the bill plan
history.
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STEPS TO ENABLE
To use the Recurring Billing feature, select Enable recurring billing for the applicable business unit in
the Billing and Revenue tab of the Receivables System Options page.
INSTALLMENT UPDATE
Use the Review Installments window to update the installments of a completed transaction. You can
update the unpaid portion of installments and add or delete installments.
You can update the original amount of an installment with Open status (Balance Due > 0). You can
reduce the installment amount as far as the unpaid portion of the instalment, or increase the amount.
You can add or delete installments provided the total of all installment amounts after any modification
is equal to the transaction entered amount. The first installment, and installments that are paid,
credited, adjusted, or disputed cannot be deleted.
To update installments, open the transaction in the Review Transaction page. Select Review
Installments from the Actions menu to open the Review Installments window.
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STEPS TO ENABLE
Enable Installment Update by setting the "AR: Update Due Date" profile option to Yes.
To allow updates to installments on printed transactions, enable the "Allow change to
printed transactions" option for the applicable business unit in the Billing and Revenue tab
of the Receivables System Options page.
In ADFdi spreadsheets in Release 12, certain buttons were changed to Ribbon icons to group together
actions in one place. These changes apply to Manage AutoInvoice Lines, Create Receipt Batch, Edit
Receipt Remittance Batch, and Manage Lockbox Transmission.
For each spreadsheet, use the Ribbon icons in place of the buttons to perform actions as indicated in
the tables below.
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Autoinvoice Upload Spreadsheet
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2. Create Receipt Batch
Clear All button Button removed: the Clear All Data icon is available
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3. Edit Receipt Remittance Batch
Clear All button Button removed: the Clear All Data icon is available
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4. Manage Lockbox Transmission
For manually created transactions, you can provide the bank account transfer receipt method and the
associated payment instrument on the Review Transaction page once you complete the transaction,
instead of the Create or Edit Transaction Page. Enter the bank account transfer receipt method and the
associated payment instrument on the Payment tab of the Review Transaction page.
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STEPS TO ENABLE
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TRANSACTIONAL BUSINESS INTELLIGENCE (OTBI)
Oracle Transactional Business Intelligence (OTBI) is a real time, self-service reporting solution for all
Oracle Financials Cloud users to create ad-hoc reports and perform analysis to improve decision-making.
Queries and reports are executed in real-time against the transactions.
New tables improve the performance of drilling from GL reconciliation differences to Payables and
Receivables activities. A single action link quickly displays the transactions that are the source of the
difference. This prevents data mismatch between accounting summaries and difference drilldowns.
The Payables Reconciliation Difference Details sub-folder contains information about Payables
reconciliation differences to General Ledger. Run the Prepare Payables to General Ledger
Reconciliation process to update Payables reconciliation details.
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2. Payables to Ledger Reconciliation Report Dashboard
Action links for differences have been consolidated into a single action link to drill to:
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3. Subledger Accounting - Receivable Summary Reconciliation Real Time
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4. Receivable to Ledger Reconciliation Report Dashboard
Action links for differences have been consolidated into a single action link to drill to:
Assets subject areas for depreciation and asset transactions have been redesigned to better support the
creation of asset reports. Asset analysis functionality has been consolidated into two subject areas.
The following subject areas are no longer available for building new ad hoc reports. Existing reports
created in earlier releases that use these subject areas will not be affected.
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The two remaining two subject areas now contain all functionality for asset reporting and analysis.
Asset Transactions subject area enables detailed reporting of any type of transaction, or
major metrics (e.g. cost) can be aggregated to see the net impact over an asset's life.
Summarization improves performance
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USABILITY IMPROVEMENTS FOR GENERAL LEDGER
General Ledger subject areas have been modified for ease of access and use.
The dimension subfolders, such as Amount Type, Currency, and Currency Type, have been un-
nested for easier access.
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2. General Ledger Journals Real Time
The Dimension folder has been reorganized to more easily identify dimensional attributes.
Balancing Segment Value has been removed from the Journal Header folder.
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3. General Ledger Transactional Balances Real Time
The dimension subfolders, such as Currency, Currency Type, and Scenario, have been un-nested
for easier access.
Descriptive flexfields have been added to the following Receivables subject areas to expand the
available transaction data for reporting.
AR_CUSTOMER_PROFILES_HZ
AR_CUSTOMER_PROFILE_CLASSES_HZ
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GENERAL LEDGER DESCRIPTIVE FLEXFIELDS
Descriptive flexfields have been added to the following General Ledger subject areas to expand the
available transaction data for reporting.
Global descriptive flexfields have been added to the subject areas for Payables, Receivables and General
Ledger to support reporting on country-specific information.
Payables JG_AP_CHECKS
JG_AP_INVOICE_LINES
JG_AP_INVOICES
JG_AP_PAYMENT_SCHEDULES
JGxAPInvoiceDistributions
JG_CE_BANK_ACCOUNTS
Receivables JG_AR_CASH_RECEIPTS
JG_AR_PAYMENT_SCHEDULES
JG_AR_RECEIPT_CLASSES
JG_AR_RECEIVABLE_APPLICATIONS
JG_RA_CUSTOMER_TRX_LINES
JG_GL_JE_LINES
JGxGLPeriods
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EXPENSES DESCRIPTIVE FLEXFIELDS
Expenses Descriptive Flexfields are now available in the Expense Transactions subject area, to expand
the available transaction data for reporting.
Auditing requirements are better supported by the addition of tracking columns in reporting. Reports
can now include information about when transactions were created and modified and by whom.
Creation Date, Created By, Last Updated Date, and Last Updated By columns are now available in the
following subject areas:
Payables Receivables
Budgetary Control Cash Management
Intercompany Subledger Accounting
Common Dimensions (Ledger, Ledger Set, Legal
Entity)
Locating a field no longer requires you to navigate through the entire subject area. You can perform a
search and directly add the search result to the report.
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SAVE A COLUMN
In earlier releases, new columns created while building a report were available only in the report that
was created. Users can now save a column with a formula and reuse the formula column in other
reports or analysis by dragging and dropping it from the Catalog pane.
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2. Reuse the column by selecting it from the Catalog pane.
New report print options improve formatting and readability of report information for greater control
over the presentation of reports.
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HTML5 GRAPH STYLE
OTBI graphs can now be viewed in web browsers that do not support Flash Player. The OTBI default
graph style has been changed from Flash to HTML5.
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REGIONAL AND COUNTRY-SPECIFIC FEATURES
Oracle Financials Cloud provides features that integrate with your procure-to-pay and order-to-cash
business flows for regional and country-specific statutory and business requirements.
Financials for Latin America supports country-specific features and functions for the Latin America
region. Oracle Financials Cloud Release 12 includes country-specific features for Mexico.
Oracle Financials Cloud Release 12 includes enhancements to Financials for Latin America for the
following reports:
Use the Chart of Accounts for Mexico to define a chart of accounts in the format specified by the fiscal
authority. Associate the accounts to your company chart of accounts in order to generate your
accounting information in the specified format. Schedule the Chart of Accounts for Mexico process to
extract accounting information in the format specified by the fiscal authority.
The Chart of Accounts for Mexico report displays all the mapped accounts of your company and the
corresponding SAT accounts in XML format.
Complete the following set up before you run the Chart of Accounts for Mexico report:
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Verify that the natural accounts appear at the correct level in the account hierarchy. You
can perform row and column flattening.
STEPS TO ENABLE
Perform the following steps to provide access to the Chart of Accounts for Mexico:
1. Sign in as IT_SECURITY_MANAGER
2. Click the Navigator menu and then click Security Console.
3. Enter Generate Chart of Accounts for Mexico Electronic Accounting in the Search field.
4. Click Search. The Generate Chart of Accounts for Mexico Electronic Accounting page appears.
5. Click the Edit Role button.
6. Click Users and then click Add Users.
Any users assigned the Generate Chart of Accounts for Mexico Electronic Accounting role will be able
to run the report.
KEY RESOURCES
Extract accounting information for transactions posted in different subledgers in the format specified by
the fiscal authority using the Journals for Mexico report.
The Journals for Mexico report collects information on all transactions that are accounted and posted in
different subledgers. The report also captures information related to electronic invoices generated for
sales or received from suppliers for purchases. When entering and posting transactions in Payables and
Receivables, you must update the global descriptive flexfields.
STEPS TO ENABLE
Perform the following steps to provide access to the Journals for Mexico Report:
1. Sign in as IT_SECURITY_MANAGER
2. Click the Navigator menu and then click Security Console.
3. Enter Generate Journal Entries for Mexico Electronic Accounting in the Search field.
4. Click Search. The Generate Journal Entries for Mexico Electronic Accounting page appears.
5. Click the Edit Role button.
6. Click Users and then click Add Users.
Any user assigned the Generate Journal Entries for Mexico Electronic Accounting role will be able to
run the report.
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KEY RESOURCES
Analyze and verify your accounting information using Oracle Hyperion Financial Reporting Studio to
generate the Trial Balance Report for Mexico. You can modify the report based on requirements from
the federal government.
The trial balance report is an XML file that includes a summary of the initial balances, the sum of total
transactions for the period, and the final balances for each account that you report in the Chart of
Accounts XML file. The accounts related to assets, liabilities, equity, and results of operations (revenues,
costs and expenses) are all included.
KEY RESOURCES
For more information on how to create the report and convert the report into an XML format, see:
Generate the Auxiliary Report for Mexico using Oracle Transactional Business Intelligence (OTBI). This
report extracts the accounting details of transactions and journals posted during the period in the
format specified by the fiscal authorities. You can re-configure the report to align with changing
requirements from the federal government. The Auxiliary Report for Mexico provides an in-depth
analysis of all accounting entries for a given account in a given period. The report displays beginning and
ending balance, as well as the daily journal entries posted to that account during the period.
After generating the report, convert the report to an XML format so that it is ready to upload to the Tax
Administration Services (SAT) website.
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KEY RESOURCES
For more information on how to create the report and convert the report into an XML format, see:
Comply with electronic invoicing requirements for Mexico using Oracle Business Intelligence capabilities
that:
allow your fiscal implementation partners to define reports that extract information in the
required format for submission to fiscal authorities. The report extract includes all
information needed to submit reports and the report formats may be modified as needed to
meet the current or future reporting requirements of the federal government.
provides a web service to automatically record approved invoice numbers in the global
descriptive flexfield of any receivable transaction in order to maintain the association
required for reporting.
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