Sunday, 25 September 2016

Oracle Apps Finance Functional Online Training-Advanced Certification Training

The Oracle R12 eBusiness Suite (also called Oracle Financials) is the premier accounting and financial ERP, one of the most flexible and robust packages ever created.  The main areas of Oracle financials R12 includes General Ledger (GL), Accounts Receivable (AR), Accounts Payable (AP), Fixed Assets (FA) and Financial Intelligence (FI), Inventory Management, and Daily Business Intelligence (DBI).


COURSE OVERVIEW :

Oracle Applications is a suite of applications software or business software which automates financial business processes. Oracle Financials is an application which has many functional modules which use the Oracle database as a back-end, notably General Ledger, Payable, Receivable, Assets and Fixed Assets. Our Oracle Financials R12 course will teach you how to setup flex-fields for every entity and post data and prepare reports.

CLICK HERE FOR KNOW MORE DETAILS ON CERTIFICATIONS :

http://spectotraining.com/oracle-apps-financial-online-training/

ONLINE DEMO WATCH HERE :

https://www.youtube.com/watch?v=rG26-3kpGGk


ORACLE GENERAL LEDGER PROCESS  :

Understanding the General Ledger Functions and Features
Analyzing the General Ledger Accounting Cycle
Reviewing General Ledger Integration Points
Generating Standard Reports and Listings.

ACCOUNTING SETUP MANAGER  :

Understanding the required Accounting Setups
Describing Reporting Currencies
Describing Accounting Setup Considerations.

LEDGER  :

Describing the Elements Required to Define Ledgers
Identifying Attributes, Options and Settings to Define the Accounting Flexfield
Defining an Accounting Calendar.

BASIC JOURNAL ENTRIES  :

Describing how Journal Entries are Positioned in the Accounting Cycle
Identifying the Types of Journal Entries
Creating Manual Journal Entries
Posting Journal Entries
Performing Accounting Inquiries
Performing Drilldowns to Oracle Sub-ledger applications
Creating Reversing Entries.

USING ACCOUNTING SETUP MANAGER  :

Creating Accounting Setups
Creating Accounting Setup Structures
Completing Accounting Options
Analyzing Reporting Currencies.

SUMMARY ACCOUNTS  :

Understanding how Summary Accounts are used in General Ledger
Defining Rollup Groups for Creating Summary Accounts
Assigning Parent Values to Rollup Groups
Entering Summary Account Templates
Discussing Implementation Considerations.

ADVANCED JOURNAL ENTRIES  :

Understanding Advanced Journal Entries Functions
Understanding the Business Benefits of Advanced Journal Entries
Understanding Recurring Journals
Understanding Mass Allocation Journals
Understanding Auto-Allocations
Understanding Journal Scheduling
Understanding Journal Approval.

ADVANCED SECURITY  :

Describing Data Access Security for Legal Entities and Ledgers
Understanding Management Reporting and Security

FINANCIAL BUDGETING  :

Understanding Anatomy of a Budget
Completing the Budget Accounting Cycle
Discussing Budget Entry Methods
Uploading Budget Amounts
Transferring Budget Amounts
Freezing and Unfreezing Budget Amounts.