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Oracle Fusion Cloud Financials: Revenue Management أساسيات

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Oracle Fusion Cloud Financials: Revenue إدارة Fundamentals training teaches implementers and end users the fundamentals of Oracle Revenue إدارة. تعلم setup and use Revenue إدارة.

3 أيام

9 Lectures

تم النسخ

دورة المحتوى

Oracle Fusion Cloud Financials: Revenue Management Fundamentals Overview

  • Course Objectives
  • Lesson Objectives
  • Introduction to Oracle Cloud Applications
  • Oracle Cloud Applications Product Families
  • Oracle Financials Cloud: Overview
  • Financials Cloud: Key Features
  • Why Do You Need Oracle Revenue Management Cloud?
  • ASC 606 and IFRS 15: Revenue Principles
  • Who Must Adopt and When Must You Adopt the Revenue Standard
  • What Has Changed: A Comparison
  • Performance Obligation Accounting Example
  • What is a Performance Obligation?
  • Revenue Management Features
  • Oracle Revenue Cloud Overview
  • Revenue Management Process Flow
  • Working Example Overview
  • Extract, Transform, and Load: Import Contract Data
  • Standalone Selling Prices and Other Amounts on Customer Contracts
  • Example
  • Managing Standalone Selling Prices Overview
  • The Five Key Steps to Revenue Recognition
  • Transition Requirements
  • Transition Ledger Strategy using EBS: Pre-Cutover
  • Transition Ledger Strategy using EBS: Cutover and Subsequently
  • Transition Ledger Strategy using Cloud Financials: Pre-Cutover
  • Transition Ledger Strategy using Cloud Financials: Cutover and Subsequently
  • Summary

Integrating with Revenue Management

  • Objectives
  • Integrations Overview
  • Inbound Integration using ETL: Import Contract Data
  • Integration with E-Business Suite
  • Steps to Configure Your E-Business Suite System
  • Apply Patches to Oracle EBS
  • Receivables System Options to Enable Integration
  • Setting the Profile Option AR: Source System Value for Revenue Management
  • Extracting Revenue Lines from EBS
  • Importing the Revenue Data File to Revenue Management
  • Oracle Cloud Applications Integration
  • Predefined Receivables Source Document Type
  • Setting Up System Options for Integration with Receivables
  • Predefined Contracts Source Document Type
  • Setting Up System Options for Integration with Project Financial Management
  • Revenue Management Integration with Subscription Management Cloud
  • Predefined Subscription Management Source Document Type
  • Setting Up System Options for Subscription Management
  • Revenue Recognition for Subscriptions Originated from OM and Managed by Subscription Management
  • Integrating Revenue Management with Order Management and Supply Chain
  • Cost Management
  • Supply Chain Management Data Flow
  • Setups for Integration with SCM
  • Running the Extract Revenue Basis Data from Oracle Fusion Applications
  • Process
  • Process Historical Data
  • 3rd Party Integration Using File Based Data Import
  • Automated Integration with 3rd Party Applications
  • Correcting Import Errors
  • Registering a Source System
  • Master Data Interface
  • Practice Overview: Creating Items and Their Spoke System Relationship
  • Outbound Integration: Journals
  • Setups in the Cloud for Outbound Integration with EBS General Ledger
  • Summary

Configuring Revenue Management

  • Objectives
  • Revenue Management Configurations Overview
  • Common Revenue Management Configurations Overview
  • Performance Satisfaction Plan Types
  • Define Revenue Scheduling Rules and Performance Satisfaction Plans
  • Practice Overview: Defining a Performance Satisfaction Plan
  • Define Source Document Types
  • Define Source Document Type Codes
  • Demonstration Overview: Defining Source Document Type Codes
  • Practice Overview: Defining Source Document Types
  • Revenue Management System Options
  • Demonstration Overview: Updating Revenue Management System Options
  • Implementation Decision Points
  • Defining Revenue Contracts With Customers Overview
  • Creating Contract Identification Rules
  • Contract Identification Rule Example
  • Practice Overview: Creating Contract Identification Rules
  • Revenue Allocation and Recognition in Transaction Currency
  • Allocation Currency Basis
  • Foreign Currency Treatment Designation
  • Application of Conversion Rates and Thresholds
  • Impact on Accounting
  • General Ledger Revaluation
  • Impact on User Interface
  • Creating Performance Obligation Identification Rules
  • Performance Obligation Identification Rule Example
  • Practice Overview: Creating Performance Obligation Identification Rules
  • Reference Information for Contracts and Performance Obligations
  • Using the Reference Information Field
  • Defining Performance Obligation Templates
  • Defining Implied Performance Obligation Templates
  • Summary

Configuring and Managing Standalone Selling Prices

  • Objectives
  • Standalone Selling Prices and Other Amounts on Customer Contracts Overview
  • Standalone Selling Prices Overview
  • Standalone Selling Prices Analysis
  • Managing Standalone Selling Prices Overview
  • Pricing Dimensions Overview
  • Pricing Dimension Structure Overview
  • Pricing Dimension Flexfield Structure Components
  • What Is a Value Set?
  • Defining Values
  • Defining Pricing Dimension Structures
  • Assigning Segment Labels
  • Price Bands Segment Label Examples
  • Defining Pricing Dimension Structure Instances
  • Practice Overview: Creating Value Sets, a Pricing Dimension Structure, and
  • an Instance
  • Defining Price Bands
  • Amount Price Band Example
  • Quantity Price Band Example
  • Set Price Band Example
  • Defining Pricing Dimension Assignments
  • Pricing Dimension Assignment Based on Additional Amount Band Segment
  • Values
  • Practice Overview: Defining a Pricing Dimension Assignment
  • Defining Revenue Item Groups
  • Defining Standalone Selling Price Effective Periods
  • Standalone Selling Price Profile Overview
  • Defining Standalone Selling Price Profiles
  • Coverage Period and Effective Period
  • Defining Standalone Selling Price Profiles
  • Practice Overview: Defining a Standalone Selling Price Profile
  • Manage Estimated Selling Prices Using Spreadsheets
  • Creating Standalone Selling Prices
  • Automatically Assigning Items to Standalone Selling Price Profiles
  • Manage Standalone Selling Prices
  • Estimating Standalone Selling Price Using Residual Approach per ASC and
  • IRFS 15
  • Practice Overview: Creating Standalone Selling Prices
  • Practice Overview: Verifying the Standalone Selling Prices Calculated
  • Observed Standalone Selling Prices Process Flow
  • Assign Standalone Selling Prices Through Revenue Basis Data Import FBDI
  • Revenue Allocation When Using Standalone Selling Price Ranges
  • How Revenue Allocation is Done When Using Standalone Selling Price
  • Ranges
  • Changed Business Objects in Create SSP Spreadsheet
  • Standalone Selling Price Policy for Ranges
  • Manage Standalone Selling Prices in Spreadsheet
  • Changed Business Objects in Manage Customer Contracts Page
  • Standalone Selling Prices in One Reference Currency
  • Reference Currency for SSPs Region in Manage System Options
  • Reference Currency in Edit Customer Contracts Page
  • Summary

Customer Source Document Data

  • Objectives
  • Revenue Management Process Flow
  • Overview of Contract Management
  • Revenue Contracts Defined
  • Data Requirements for Contract Creation and Completion
  • Using the File Based Data Import Template: Customer Contract Source
  • Documents
  • Where to Download the FBDI Templates
  • Descriptions on the Revenue Basis Data and Billing Data Import Templates
  • Uploading Customer Contract Source Documents Using Excel
  • Customer Contract Source Documents Tab
  • Customer Contract Source Document Lines Tab
  • Allow Override of Currency Conversion Details for Revenue Contract Lines
  • VRM_SOURCE_DOCUMENTS and Currency Conversion Details
  • Additional Control of Currency Conversion
  • Contract and Performance Obligation
  • Customer Contract Detail: Performance Obligations Tab
  • Customer Contract Detail: Promised Details Tab
  • Customer Contract Source document Sub Lines Tab
  • Customer Contract Detail: Line Reference Details Sub Tab
  • Processing the Customer Contract Source Documents
  • Practice Overview: Processing Customer Contract Source Documents from a
  • Spreadsheet
  • Running the Validate Customer Contract Source Data Process
  • Demonstration Overview: Running the Validate Customer Contract Source
  • Data Process
  • Subscription Duration and Price Periodicity for Promised Services in Revenue
  • Contracts
  • Integration with Revenue Management
  • Unit Standalone Selling Price Based on Service Duration and Price Periodicity
  • Manage Customers Contract Page
  • Impact on Prior created Contracts
  • Error Handling
  • Revenue Recognition Upon Fulfillment of Additional Events
  • Additional Satisfaction Event Rules Configuration
  • Fulfill Additional Satisfaction Event Rules Using Revenue Basis Data Import
  • Configuration
  • Summary

Contract Identification and User Interface

  • Objectives
  • The Five Key Steps to Revenue Recognition
  • Mapping the Five Steps to Revenue Management Setups
  • Running the Identify Customer Contracts Process
  • Step 1: Identify Accounting Contracts Example
  • Step 2: Identify Performance Obligations Example
  • Steps 3 and 4: Determine and Allocate Transaction Price Example
  • Step 5: Recognize Revenue When Obligations Are Satisfied
  • Correct Contract Document Errors in Spreadsheet
  • Demonstration Overview: Running the Identify Customer Contracts Process
  • Overview of Contract Management User Interface
  • Pending Review Tab
  • Manual Review Required Column on the Customer Contracts Source Data
  • Import Template
  • Pending Allocation Tab
  • Pending Revenue Recognition Tab
  • Manage Contracts Page
  • Review Contracts
  • Review Performance Obligations
  • Review Promised Details
  • Review Satisfaction Events and References
  • Summary

Contract Maintenance

  • Objectives
  • Automatic Renewal of Revenue Contracts
  • Automatically Clear Residual Contract Account Balances for Fully Satisfied
  • Contracts
  • Manage System Options for Revenue Management
  • Residual Account Balance Write-Off Process
  • Manage Customer Contracts
  • Residual Balance Clearing for Transaction Currency Revenue Recognition
  • Import Additional Satisfaction Events for Period-Based Revenue Contracts for
  • Fixed and Variable Schedules
  • Practice Overview: Using the Revenue Management Work Area
  • Uploading Billing Data
  • Ability to Clear Balances for Zero Price Transaction Line Without Bill
  • Practice Overview
  • Contract Revisions
  • Revision Intent Type
  • Discard Customer Contracts
  • Changes to Allocated Revenue on Open Performance Obligations due to
  • Immaterial Changes
  • Changes to Allocated Revenue on Open Performance Obligations due to
  • Immaterial Changes
  • Update Descriptive Attributes on Revenue Contracts without Invoking Contract Modifications
  • Immaterial Change on Contracts Denominated in Non-Ledger Currency
  • Impact on Source Document Type and Customer Contract Pages
  • Currency Conversion for Immaterial Change
  • Prospective Accounting Treatment for Immaterial Price Changes – Example of
  • a Customer Contract
  • Prospective Accounting Treatment for Immaterial Price Changes – Impact of
  • Prospective Accounting
  • Prospective Accounting Treatment for Immaterial Price Changes of Subscription
  • Products
  • Subscription Management Actions with Prospective Accounting Option

Prospective Accounting Treatment for Performance Obligations Using Point in Time

  • Revenue Recognition
  • Devolve Performance Obligations Associated with Revenue Contracts
  • Devolve at Inception
  • Impact of Returns and Revisions
  • Devolve Performance Obligations Associated with Revenue Contracts
  • Devolve a Performance Obligation – Setup Detail
  • Business Events for Managing Revenue Contracts
  • Business Events Supported by Revenue Management
  • Attributes in the Payload for Revenue Contract Batch Creates
  • Contract Freeze Override for Revenue Accounting Contracts
  • Updating the Freeze Date of Contracts in Bulk
  • Summary

Contract Accounting

  • Objectives
  • Accounting in Contract Management
  • Scenario
  • Scenario: Plan Details
  • Scenario: Accounting Process
  • Accounting: Performance Obligations
  • Accounting: Integration with Subledger Accounting and General Ledger
  • Accounting: Predefined Accounting Classes
  • Accounting: Predefined Journal Line Rules
  • Accounting: Predefined Events
  • Revision Intent as a Source for Subledger Accounting Rules
  • Item Attributes as a Source for Subledger Accounting Rules
  • View Consolidated Account Activity for Revenue Contract Group
  • Demonstration Overview: Running the Recognize Revenue of Customer
  • Contracts Process
  • Revenue Management Transaction Sweep
  • Summary

Reporting

  • Objectives
  • Reporting for Revenue Management
  • Oracle Analytics Publisher Report: Revenue Contract Account Activities Report
  • Output Options for the Revenue Contract Account Activities Report
  • Practice Overview: Running the Revenue Contract Account Activities Report
  • Oracle Transactional Business Intelligence: Standalone Selling Price Report Dashboard
  • Reports and Analytics User Interface
  • BI Catalog User Interface
  • Oracle Transactions BI Objects and Related Icons
  • Subject Areas
  • Transactional Business Intelligence Subject Areas for Revenue Management
  • Column Data Structure for Analytics
  • Analysis
  • BI Composer Overview
  • Oracle Transactional BI Answers
  • Dashboards Overview
  • Oracle Transactional Business Intelligence: Open Performance Obligation
  • Report Dashboard
  • Summary

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