Accounting Hub Cloud PDF
Accounting Hub Cloud PDF
Accounting Hub Cloud PDF
Implementation Workshop
Sreeni Devireddy
Director, Product Management
Oracle Development
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Logistics
• Knowledge of Oracle Financials Cloud is a mandatory pre-requisite for this workshop
• All of you must have received the following emails:
– WebEx & Environment access details in your confirmation e-mail [[email protected]]
– Beehive Workspace access e-mail [[email protected]]
• WebEx session is approximately for 3.5 hours
• Covers presentations & product demonstrations
• Audio lines are placed on mute for the entire session
• Please submit your questions at any time during the WebEx session via Q&A Panel (Chat) at the top
• If any questions remain unanswered, please post them in the forum
• Post WebEx, you will perform the activities/labs offline and use forum incase of any questions or issues
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Agenda
1 Architecture
2 Analyze
3 Build
4 Implement
5 Report & Reconcile
1 Architecture
2 Analyze
3 Build
4 Implement
5 Report & Reconcile
XLA_EVENTS GL Journals
Payables
Accounting
Invoice Invoice Validated Rules Item Expense (3888-000-21445-3888) 500 USD Dr
Liability (3888-000-34523-3888) 500 USD Cr
INV001 - $500 Invoice Cancelled
Invoice Adjusted Sources Subledger Journals GL Balances
validate
ü Payables
on an event Run accounting Transfer to GL On Posting
ü Cost Management program or do online and Import
ü Assets accounting
ü Receivables
ü Receipt Accounting
ü Projects etc
ü Events & Sources
ü Rules
Copyright © 2014, Oracle and/or its affiliates. All rights reserved. | Oracle Confidential – Internal/Restricted/Highly Restricted 7
Architecture
Events & Sources
Subledger Process
Event Class Event Type
Application Category
Transaction Header
Transaction Line
Invoice Adjusted
Invoice
Payables Invoices Invoice Cancelled
Prepayment..
Invoice Validated
AP_INVOICE_EXTRACT_HEADER_V
AP_INVOICE_EXTRACT_DETAILS_V
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Architecture
Rule Set
Standard Accrual
Accounting
Method Invoice Accrual Basis
Credit Memo Accrual Basis
Debit Memo Accrual Basis
Journal Entry Payments Accrual Basis
Rule Sets
Freight Distribution Account Rule Description Rule
XLA_EVENTS GL Journals
Accounting
Loan Origination
ACC1 - $50000
Loan Originated Rules Loan Receivable (3888-000-21445-3888) 50000 USD Dr
Cash (3888-000-34523-3888) 50000 USD Cr
Interest Accrual
Payment Sources Subledger Journals GL Balances
ü Payables
on an event Run accounting Transfer to GL On Posting
ü Cost Management program or do online and Import
ü Assets accounting
ü Receivables
ü Receipt Accounting
ü Projects etc
ü Loan ü Events & Sources ü AHCS can be deployed
ü Rules standalone
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Why Accounting Hub? Top Pain Points
• Multiple Transaction Systems: Transaction systems often have no or very limited
accounting capabilities (ex: Concur, Zuora or a 3rd party payroll)
• Federated Accounting: Accounting function spread across multiple systems resulting in
inefficient record to report processes.
• Multiple source of truths: Use of multiple General Ledger systems and need to
consolidate into one financial information repository for financial reporting / business
insights.
• Less Agile: Requires pervasive changes to the business systems managing finance
processes when business grows or expands.
• High Investments: Significant need for IT resources for upgrades and rollouts.
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Accounting Hub Cloud
Overview
1 Architecture
2 Analyze
3 Build
4 Implement
5 Report & Reconcile
Subledger Process
Event Class Event Type
Application Category
Transaction Header
Transaction Line
Invoice Adjusted
Invoice
Payables Invoices Invoice Cancelled
Prepayment..
Invoice Validated
AP_INVOICE_EXTRACT_HEADER_V
AP_INVOICE_EXTRACT_DETAILS_V
Subledger Process
Event Class Event Type
Application Category
Transaction Header
Transaction Line
Loan Origination
AHC Loan AHC Loan AHC Loan Interest Accrual
Payment
ADXX_XLA_H_AHC_LOAN
ADXX_XLA_L_AHC_LOAN
Loan Origination
ADXX_XLA_H_<AHC_LOAN> AHC Loan AHC Loan AHC Loan Interest Accrual
Name Short Name Payment
Transaction Type TRANSACTION_TYPE
Transaction Date TRANSACTION_DATE
Transaction Number TRANSACTION_NUMBER ADXX_XLA_H_AHC_LOAN
Ledger Name LEDGER_NAME ADXX_XLA_L_AHC_LOAN
Bank BANK
Account Number ACCOUNT_NUMBER ADXX_XLA_L_<AHC_LOAN>
Account Currency ACCOUNT_CURRENCY Name Short Name
Original Balance ORIGINAL_BALANCE Transaction Number TRANSACTION_NUMBER
Origination Date ORIGINATION_DATE Default Amount DEFAULT_AMOUNT
Maturity Date MATURITY_DATE Default Currency DEFAULT_CURRENCY
Payoff Date PAYOFF_DATE Line Type LINE_TYPE
Term TERM Conversion Date CONVERSION_DATE
Interest Rate INTEREST_RATE Conversion Type CONVERSION_TYPE
Loan Type LOAN_TYPE Conversion Rate CONVERSION_RATE
Customer CUSTOMER Line Description LINE_DESCRIPTION
Customer Category CUSTOMER_CATEGORY Reference REFERENCE
Loan Officer LOAN_OFFICER Intercompany Indicator INTERCOMPANY_INDICATOR
Location LOCATION
Standard Accrual
Accounting
Method Invoice Accrual Basis
Credit Memo Accrual Basis
Debit Memo Accrual Basis
Journal Entry Payments Accrual Basis
Rule Sets
Freight Distribution Account Rule Description Rule
ADXX_XLA_H_AHC_LOAN
ADXX_XLA_L_AHC_LOAN
1 Architecture
2 Analyze
3 Build
4 Implement
5 Report & Reconcile
Upload file process creates subledger application setups in a single step, including source, journal category, event model,
transaction objects, sources and accounting attribute assignments
Note: If you need to override the uploaded source system information, you can re-upload the spreadsheet template for the
same source system if you have not created any accounting rules for the uploaded source system.
You can revise the source names to be more business user-friendly so that they are easily understood when configuring
accounting rules
You can add sources from the user interface. The download of a new transaction data template includes this newly added
source.
Accounting
Method PTS Standard Accrual
Accounting
AHC Loan Origination
Method
AHC Interest Accrual
AHC Payment
Journal Entry
Rule Sets AHC Loan Receivable AHC Account Rule AHC Description Rule
AHC Loan Fee Accrual AHC Account Rule AHC Description Rule
Journal Line Account Description
Rules Rules Rules AHC Loan Fee AHC Account Rule AHC Description Rule
AHC Cash AHC Account Rule AHC Description Rule
Accounting
Method PTS Standard Accrual
ü Accrual Reversal
ü Accrual Reversal Accounting Date Source = First Day of Next Accounting Period
Accounting
Method PTS Standard Accrual
Example:
Loan: 2018072202 USD 460000 - Line Type: LOAN
Note: Line descriptions can be transferred to the General Ledger based on the General Ledger Journal Entry Summarization options.
– If the value is Group by GL Date or Group by Accounting Period, each line description for each journal entry transferred to the GL in
the same group is displayed and visible.
– If the value is Summarize by GL Date or Summarize by Accounting Period and if all the lines can be summarized, each line
description is not displayed on the General Ledger journal entries.
– In both cases, when drilling down to subledger, all descriptions are still available and displayed.
1 Architecture
2 Analyze
3 Build
4 Implement
5 Report & Reconcile
Note: You must have the Accounting Hub Cloud Integration Duty Role to import accounting transaction data
Note: The name of the file must begin with ‘XlaTransaction’
The uploaded transaction data is kept in the Accounting Hub Cloud Cloud for 90 days. Exceptions include:
• Transactions that are used to create multiperiod accounting entries. This type of transaction is kept until the end date of the
multiperiod duration.
• Unaccounted transactions. These transactions are not purged, even if they are more than 90 days old.
1 Architecture
2 Analyze
3 Build
4 Implement
5 Report & Reconcile
• With Balances
– Account Number
– Customer
– Customer Category
• Without Balances
– Loan Officer
– Loan Term
– Location