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Oracle Financial Services Accounting Hub Implementation Guide
Contents
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Preface
Overview of the Financial Services Accounting Hub for Implementers
- Financial Services Accounting Hub Solutions
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- Accounting Representations Closely Tied to the Originating Transactions
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- Flexible Application Accounting Definitions
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- Multiple Representations
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- Scalability
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- Accounting Representations
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- Introduction to Events and Sources
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- Event Model
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- Sources and Source Data
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- Overview of the Financial Services Accounting Hub
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- Financial Services Accounting Hub Uptake Process
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- Summary Listing of Uptake Steps
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- Analysis
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- Definition and Build
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- Accounting Program Integration
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- Implement and Test
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- Security
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- Upgrade Strategy
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- Roles in the Uptake and Use of the Financial Services Accounting Hub
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- Application Analyst
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- Implementer
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- User
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- Secondary or Reporting Ledger Historical Upgrade
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- Initial Balances for Supporting References
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Analysis of Accounting Events
- Creating Subledger Journal Entries from Accounting Events
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- Identifying Accounting Events
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- Financial Significance of Accounting Events
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- Identifying the Life Cycle
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- Ability to Record the Full Accounting Implications of Accounting Events
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- Requirements for Valid Accounting Events
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- Accounting Event Attributes
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- Event Type
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- Transaction Identifiers
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- Event Status
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- Event Date
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- Transaction Context Values
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- Security Context Values
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- Accounting Event Analysis - Additional Notes
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- Accounting Event Order
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- Third Party Merge
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- Audit Trail and Business Event Restrictions
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- Draft and Final Accounting
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- Transactions with Multiple Events
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- Valuation Methods and the Financial Services Accounting Hub
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Transaction Objects Analysis
- Transaction Objects Overview
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- How Sources Are Used in the Financial Services Accounting Hub
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- Transaction Objects Data Model
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- Types of Sources
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- Transaction Objects
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- Transaction Objects Types
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- Transaction Object Columns
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- Multiple Transaction Objects of the Same Type
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- Population of Transaction Objects
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- Reference Objects
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- Create Sources and Assignments
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- Transaction Objects Guidelines
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- Introduction to Transaction Objects Guidelines
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- Accounting Attributes Guideline
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- Distribution Identifiers Guideline
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- Multiperiod Accounting Guideline
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- Monetary Amounts Guideline
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- Gains and Losses Guideline
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- Foreign Currency Amounts Guideline
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- Reporting Currency Amounts Guideline
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- Corrections for Rounding Guideline
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- Related Transactions, Lines, and Distributions Guideline
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- Independence from Accounting Method Guideline
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- Balanced Debits and Credits Guideline
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- Granularity of Transaction Objects Lines Guideline
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- Third Party Control Accounts Guideline
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- Translated Sources, Lookup Types, and Value Sets Guideline
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- Consistency Guideline
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- Tax References Guideline
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- Flexfields Guideline
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- Accounting Flexfield Derivation Mechanisms Guideline
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- Accounting Options Guideline
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- Internal Identifiers Guideline
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- System Sources Guideline
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- Accounting Reversals Guideline
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- Accounting Reversals
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- Accrual Reversals
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- Line Accounting Reversals
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- Transaction Accounting Reversals
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- Accounting Reversal Examples
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- Upgrade Case Scenario for Accounting Reversals
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- Accounting Reversal Upgrade Case Example
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- Transaction Objects Example for Payables
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Seeding Event Information Using Accounting Methods Builder
- Seeding Event Information Using Accounting Methods Builder (AMB) Overview
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- Event Setup Steps
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- Introduction to Event Entities, Event Classes, and Event Types
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- Registering Subledger Applications
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- Drilldown API Details
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- Event Entities
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- Defining Accounting Event Entities
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- Event Classes
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- Event Types
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- Event Class Predecessors
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- Defining Event Class Predecessors
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- Process Categories
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Create and Assign Sources
- Create and Assign Sources Overview
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- Defining Accounting Event Class Options
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- To Set Up Accounting Event Class Options
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- Create and Assign Sources Program
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- Create and Validate Mode
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- Validate Only Mode
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Revise Source Definitions and Assign Accounting Attributes
- Revise Source Definitions and Assign Accounting Attributes Overview
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- Revise Source Definitions and Assign Accounting Attributes
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- Standards for Source Names and Descriptions
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- Source Names
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- Source Descriptions
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- Manually Defining/Revising Sources
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- To Manually Define/Revise Sources in Accounting Methods Builder
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- Assigning Sources
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- To Assign Sources in the AMB
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- To Assign Accounting Attributes in the AMB
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Financial Services Accounting Hub Seed Data
- Financial Services Accounting Hub Seed Data Overview
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- Subledger Application Setups
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Seeding Calls to Subledger Event Capture Routines
- Seeding Calls to Subledger Event Capture Routines Overview
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- Procedures to Seed Event Capture Routines
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- Perform Event Setups in Accounting Methods Builder (AMB)
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- Write Product Specific Cover Routines
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- Integrate Event APIs with Subledger Applications
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- Overview of Event APIs
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- Get Event Information
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- Create Events
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- Update Events
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- Delete Events
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- Update Transaction Number
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- Event API Details
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- Get Event Information APIs
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- Create Event APIs
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- Update Event APIs
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- Delete Event APIs
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- Common Parameters
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- PL/SQL Data Types
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- Constants
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Accounting Program and Period Close Integration
- Accounting Program Workflow Business Events for Custom Integration
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- Technical Implementation Steps and Conventions
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- Timing and Position of Workflow Business Events
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- Parameter Specifications
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- Application Subscription to Workflow Business Events
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- Locking
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- Transaction Control Statements
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- Exception Handling
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- Default Subscription to Postaccounting Workflow Business Event
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- Accounting Program Specifications
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- Accounting Program Submission
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- Period Close Exceptions Report API
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Gapless Event Creation and Processing
- Gapless Event Creation and Processing Overview
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- Gapless Event Creation and Processing
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- Gapless Process Steps
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- Event Updates and Deletes
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Financial Services Accounting Hub Security
- Financial Services Accounting Hub Security Overview
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- Transaction Security
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- Transaction Security Overview
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- Transaction Security Implementation
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- Flexfield Security Rules
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- Data Access Set Security
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- Data Access Set
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- Data Access Set Security for Journal Entry Creation
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- Data Access Set Security for Inquiries and Reports
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Manual Subledger Journal Entries API
- Manual Subledger Journal Entries API Overview
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- Technical Overview
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- XLA_JOURNAL_ENTRIES_PUB_PKG
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- Global Constants
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- Published Journal Entries APIs
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Drilldown
- Drilldown Overview
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- Drill-down API Details
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- Drilldown Accounting from Transaction Workbench to Accounting Events
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- Specification
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- View Accounting from Transaction Workbench to Subledger Journal Entry Lines
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- Specification
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- Drilldown from General Ledger to Subledger Journal Entry Lines
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Financial Services Accounting Hub Repository Specification
- Financial Services Accounting Hub Repository Data Model
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- Accessing the Financial Services Accounting Hub Repository
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- Retrieve Journal Entries for a Transaction
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- Retrieve Journal Entries for an Event
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- Retrieve Journal Entries for a Ledger
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- Retrieve Journal Entries Using Distribution Links
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Calculation of Accounted and Gain or Loss Amounts
- Calculation of Accounted and Gain or Loss Amounts Overview
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- Calculation of Accounted Amounts
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- Calculation of Gain or Loss Amounts
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- The Accounting Program Process Flow for Gain or Loss Amount Calculation
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Transaction Account Builder
- Transaction Account Builder Overview
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- Transaction Account Builder Components
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- Account Validation and Dynamic Insertion
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- Transaction Account Builder Setup Process
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- Step 1: Define Sources
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- Step 2: Define Transaction Account Types
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- Step 3: Generate TAB API Objects
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- Step 4: Create Account Derivation Rules (Optional)
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- Step 5: Create Transaction Account Definitions (Optional)
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- Step 6: Modify Application Setup to Support TAB
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- Step 7: Call the Transaction Account Builder API
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- Step 8: Using the Transaction Accounts in the Accounting Methods Builder (Optional)
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Application Accounting Definitions Loader
- Application Accounting Definitions (AAD) Loader Overview
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- Version Control Overview
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- Installation, Patching, and Migration
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- Application Accounting Definitions Data Delivery
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- Import Application Accounting Definitions
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- Export Application Accounting Definitions
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- Application Accounting Definitions Migration
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- Applications Accounting Definitions Concurrent Development
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Index

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