Showing posts with label oracle cash management interview questions. Show all posts
Showing posts with label oracle cash management interview questions. Show all posts

Oracle Cash Management Setups - Defining Bank Transaction Codes


If you want to load electronic bank statements or use Cash Management's Auto Reconciliation feature, you must define, for each bank account, the transaction codes that your bank uses to identify different types of transactions on its statements. You should define a bank transaction code for each code that you expect to receive from your bank. Payment and Receipt codes may be defined more than once if they apply to transactions from multiple sources.
You can enter effective date range fields, Start Date and End Date, so that you can make a bank transaction code inactive. You can also delete codes that have not been used, in case you make a mistake in creating one.

Oracle Cash Management Setups - Bank Account Creation

Bank Account Creation


Oracle Cash Management Setups - Bank Branch Creation

Bank Branch Creation


Oracle Cash Management Setups - Bank Creation

Bank Creation
Steps:
          1.   N: Setup-> Banks -> Banks

Oracle Cash Management Setups - System Parameters

System Parameters
Use the System Parameters window to configure your Cash Management system to meet your business needs. For example, system parameters determine the default options for manual reconciliation windows and the control settings for the Auto Reconciliation program.
Steps:

1. Switch Responsibility: - Ivas_CashManagement
2. N: - Setup-> System-> System Parameters