Cash Management Key Concepts
(Below Topics will be explained in this blog in detail in future posts)
Knowing About:
(Below Topics will be explained in this blog in detail in future posts)
Knowing About:
- Cash Management Over View
- Bank Model
1
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Key concepts:
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Reconciling Bank Accounts
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Cash Forecasting
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Cash positioning
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Cash Pools
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2
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Cash Management Security
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Security model
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Creating security profiles
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Creating security grants
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3
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Setting Up Cash Management:
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Setup General Ledger
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Set up related Applications: Ap, AR, Treasury, Payroll etc
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Setup Oracle Cash Management
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4
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Creating Bank Accounts
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Defining banks
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Defining bank branches
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Creating bank accounts
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Defining bank transactions codes
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Defining bank account signing authorities
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5
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Bank Transfers
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Describing how to set up bank transfers
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Creating a bank transfer
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Settling a bank transfer
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Creating a bank account transfer template
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Creating bank statement cash flows
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6
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Reconciling Bank
Statements
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Reconciling bank statements manually and automatically
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Recording exceptions and reversals
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Reconciling corrections and adjustments to bank errors
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Clearing and unclearing transactions
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Transferring bank reconciliation transactions to your general
ledger
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Explaining archiving and purging
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7
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Cash Pools
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Creating cash pools
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Viewing cash pools
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Updating cash pools
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8
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Cash Positioning
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Creating cash positioning worksheets
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Generating cash positions from worksheets
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Generating a cash leveling proposal
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Viewing cash position results
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Exporting cash position results to your spreadsheet application
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Viewing cash positions in Discoverer
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9
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Cash Forecasting
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Defining a cash forecast template
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Generating a cash forecast
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Modifying a cash forecast
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Exporting a cash forecast to your spreadsheet application
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Identifying implementation considerations
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Using cash forecasting reports
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10
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Accounting Events
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Describing the accounting flow in Oracle Cash Management
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Describing the key concepts of Oracle Sub ledger Accounting
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Describing how to set up Oracle Sub ledger Accounting for Cash
Management
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Creating manual journal entries
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11
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Balances and Interest
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Maintaining bank account balances
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Creating and assigning interest rate schedules to bank Accounts
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Creating reports for interest calculations and account balances
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12
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Cash Management Accounting Entries
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13
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Oracle Cash Management Period end Closing
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14
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Important Reports to Run From Time to time
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