Bank Transfer in Oracle Fusion Cash Management
Hi Friends, we are going to discuss about the Bank Transfer in Oracle Fusion cash management. We will share the detail steps to configure the bank transfer process in oracle fusion cash management. This post will really help to implement and learn the bank transfer process in oracle fusion cash management. The Bank Account Transfer creates two external transactions. An outflow (payables) external transaction is created for the From
Bank Account, and an inflow (receivables) external transaction is created for the To Bank Account. These transactions generate the
accounting entries when reconciled with bank statement lines.
Bank account transfer can be between an intercompany or intracompany, and the intercompany (FUN) Manage Intercompany
Balancing Rules and Manage Secondary and Clearing Company Balancing Options UI’s will be used to setup the default offset
accounts for these transactions. You will need to configure rules under both these setups if you anticipate transfers between bank
accounts belonging to the same legal entity and also between bank accounts belonging to different legal entities.
To distinguish Cash Management balancing rules from others, setup intercompany balancing rules with: Source as Cash
Management and Journal Category as Funds Transfer. Please find below the detail about Bank Transfer in Oracle Fusion cash management.
Setup to Implement the Bank Transfer in Oracle Fusion cash management
Step 1:- Navigator> Setup and Maintenance > Manage Intercompany Balancing Rules task
Create Legal Entity Rule for:
From Legal Entity: US1 Legal Entity
To Legal Entity: France Legal Entity
Source: Cash Management
Category: Funds Transfer
Enter Receivables and Payables Accounts.
Bank Transfer in Oracle Fusion cash management |
Step 2:-
Create Legal Entity Rule for:
From Legal Entity: France Legal Entity
To Legal Entity: US1 Legal Entity
Source: Cash Management
Category: Funds Transfer
-Enter Receivables and Payables Accounts.
Bank Transfer in Oracle Fusion cash management |
Step 3:- Create Bank Account Transfer (between bank accounts belonging to different legal entities)
Task: Create Bank Account Transfer
Cash Management > Cash Balances > Click Transfer Funds or click the Panel drawer and click the Create Bank Account Transfer
task
-Submit Bank Account Transfer From BofA-2869 (US1 Legal Entity) to BNP-Interne en Euro 999 (France Legal Entity)
Bank Transfer in Oracle Fusion cash management |
Bank Transfer in Oracle Fusion cash management |
Step 4:-Review Bank Account Transfer Status
Task: Manage Bank Account Transfer
Cash Management > Cash Balances > click the Panel drawer
Click the Manage Bank Account Transfer task
Bank Transfer in Oracle Fusion cash management |
Step 5: Review External Transactions created
Task: Manage Transactions
Cash Management > Bank Statement and Reconciliation > Manage Transactions task
Search by Origin: Bank Account Transfer
Bank Transfer in Oracle Fusion cash management |
Review External Transaction created for BofA-2869 (Outflow External Transaction)
Bank Transfer in Oracle Fusion cash management |
Review External Transaction created for BNP- Interne en Euro 999 (Inflow External Transaction)
(Optional) Step 6: Submit Cash Position Data Extraction
Scheduled Processes
-Schedule New Process: Cash Position Data Extraction
Bank Transfer in Oracle Fusion cash management |
Bank Transfer in Oracle Fusion cash management |
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