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所在平台: Udemy |
课程主页: https://www.udemy.com/course/oracle-financials-cloud-receivables-2023-impprof-practice/
课程评论:没有评论
课程名称:1Z0-1056-24 Oracle Financials Cloud Receivables ImpProf prep 课程概述: 本课程主要围绕Oracle Financials Cloud应收账款模块的配置与管理展开,内容涵盖多个关键领域: 1. **常见应收账款配置**:设置共享设置和配置,以便合理使用应收账款模块。 2. **快速实施应收账款**:利用预定义模板快速配置应收账款。 3. **自定义应收账款模块**:根据企业特定需求调整应收账款模块。 4. **税务配置**:设定与应收账款交易相关的税务配置。 5. **子分类账会计配置**:定义应收账款内会计分录和交易的规则。 6. **客户配置与导入**:设置及导入客户信息至应收账款系统。 7. **现金管理配置**:在应收账款模块内设置现金管理功能。 8. **应用集成配置**:建立应收账款与其他软件应用之间的数据流和连接。 9. **客户账单管理**:相关的客户账单流程配置。 10. **自动发票和会计处理**:管理自动化发票及会计设置。 11. **交易类型与资源管理**:处理不同类型的交易及相关资源、销售人员和销售账户的引用。 12. **收入配置**:在应收账款内设定与收入相关的配置。 13. **客户支付管理**:处理客户支付流程的各个方面。 14. **收款管理**:管理客户的收款事务。 15. **锁盒管理**:处理与收款相关的锁盒过程。 16. **交易创建与处理**:生成与管理各类交易。 17. **异常处理**:管理收款过程中的异常情况。 18. **账单管理配置**:设定账单管理的相关配置。 19. **报告与智能分析**:利用Oracle事务商业智能和商业智能发布工具生成报告。 课程还涉及应收账款的对账管理、高级催收功能的配置及使用以及制定和运用催收评分策略。 本课程适合希望深入理解Oracle应收账款模块配置与管理的专业人士。
Configuring Common Receivables: Setting up shared settings and configurations for the Receivables module.Configure Receivables Using Rapid Implementation: Quickly setting up Receivables using pre-defined templates and configurations.Configure Receivables: Customizing the Receivables module to suit the specific needs of the business.Configure Tax: Setting up tax-related configurations for Receivables transactions.Configure Sub Ledger Accounting: Defining rules for accounting entries and transactions within Receivables.Configure and Import Customers: Setting up and importing customer information into the Receivables system.Configure Cash Management: Setting up cash management functionalities within the Receivables module.Configure Integration with Other Applications: Establishing connections and data flow between Receivables and other software applications.Configuring Customer Billing: Setting up configurations related to customer billing processes.Manage AutoInvoicing: Handling automated invoicing processes.Manage AutoAccounting: Managing automated accounting setups.Manage Transaction types, Transaction sources, Items, and Memo lines: Handling different types of transactions, their sources, items, and related notes.Manage Resources, Salesperson, Sales credits, and Salesperson account references: Handling sales-related resources, salespeople, credits, and references.Configure Revenue for Receivables: Setting up revenue-related configurations within Receivables.Managing Customer Payments: Handling various aspects of customer payment processes.Manage Customer Receipts: Handling customer receipt transactions.Manage Lockbox: Managing lockbox-related processes for receipts.Manage Automatic Receipts and Funds Capture: Handling automated receipt processes and capturing funds.Managing Customer Billing: Overseeing different aspects of customer billing activities.Create and Process Transactions: Generating and managing various types of transactions.Manage AutoInvoice Corrections: Handling corrections in the automated invoicing process.Manage the AutoInvoice Process: Overseeing the automated invoicing process.Calculate Transactional Tax: Computing tax amounts for transactions.Manage Transaction Printing: Handling the printing of transaction-related documents.Processing Customer Payments: Managing customer payment transactions.Create and Process Receipts: Generating and managing receipts from customers.Create and Process Bills Receivables Remittances: Handling bills receivable remittance processes.Create and Process Receipt Exceptions: Managing exceptions in the receipt creation process.Configuring Bill Management: Setting up configurations for managing bills.Configure and Use Oracle Bill Management: Setting up and utilizing Oracle Bill Management functionalities.Reporting for Account Receivables & Advanced Collections: Generating reports using Oracle Transactional Business Intelligence (OTBI) and Business Intelligence Publisher (BIP).Report with Oracle Transactional Business Intelligence (OTBI): Generating reports using Oracle's business intelligence tool.Report with Business Intelligence Publisher (BIP): Creating reports using the Business Intelligence Publisher tool.Manage Account Receivables Reconciliation: Handling reconciliation processes within Account Receivables.Configuring and Using Advanced Collections: Setting up and utilizing advanced collection features.Configure Advanced Collections: Customizing advanced collection functionalities.Design and Use Scoring Strategies: Creating and utilizing scoring strategies for collections.Manage Collections Work: Overseeing the work and processes related to collections.