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Oracle Financials for the Americas User Guide
Contents
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Preface
Regional Overview
- Overview
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Common Country Features
- Oracle General Ledger
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- Inflation Adjustment Overview
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- Maintaining Both Historical and Inflation-Adjusted Balances
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- Maintaining Only Inflation-Adjusted Balances
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- Prerequisites
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- 1. Defining the Main Ledger
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- 2. Defining the Adjusted Ledger
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- 3. Entering Transactions in the Main Ledger
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- 4. Posting Journal Entries in the Main Ledger
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- 5. Running the Latin American General Ledger Journal Copy Process
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- 6. Posting Journal Entries in the Adjusted Ledger
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- Setting Up Oracle General Ledger for Inflation Adjustment
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- 1. Define Inflation Ratio Precision
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- 2. Define Inflation Adjustment Accounting Models
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- 3. Define Price Indexes
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- Adjusting Accounts for Inflation
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- Submitting the Inflation Adjustment Process
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- Using the Inflation Adjustment Date
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- Latin American General Ledger Inflation Adjustment Report
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- Oracle Receivables
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- Copy and Void Invoices Overview
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- Setting Up Copy and Void Invoices
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- 1. Define the Void Transaction Type
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- 2. Enable Automatic Transaction Numbering
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- 3. Define Void Reasons
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- Regional Receivables Copy and Void Invoices Preview Report
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- Running the Regional Receivables Copy and Void Invoices Process
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- Regional Receivables Copy and Void Invoices Report
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- Reviewing an Invoice Copy Status
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- Latin Tax Engine Overview
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- Taxes, Tax Categories, and Tax Rates
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- Tax Conditions and Tax Condition Values
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- Tax Group
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- Tax Rules
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- Latin Tax Engine Tax Calculation
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- Determining Tax Categories
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- Determining Tax Codes
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- Determining Base Rates
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- Calculating the Tax
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- Setting Up the Latin Tax Engine
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- Setup Steps and Options
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- 1. Define System Options
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- 2. Define Tax Conditions
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- 3. Define Tax Condition Values
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- 4. Define Legal Message Exception Codes
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- 5. Define Tax Categories
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- 6. Define Tax Codes and Rates
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- 7. Assign Default Tax Codes to Tax Categories
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- 8. Define Latin Tax Category Details
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- 9. Define Latin Tax Category Schedules
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- 10. Associate Tax Categories with Tax Conditions and Values
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- 11. Define Tax Condition Classes for Organizations
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- 12. Assign Tax Condition Classes to Organizations
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- 13. Define Tax Condition Classes for Contributors
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- 14. Assign Tax Condition Classes to Contributors
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- 15. Define Customers
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- 16. Define Customer Site (Bill To, Ship To)
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- 17. Define Customer Site Tax Profiles
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- 18. Define Latin Locations
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- 19. Define Tax Condition Classes for Transactions
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- 20. Define Fiscal Classifications
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- 21. Define Items
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- 22. Assign Tax Condition Classes and Fiscal Classifications to Items
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- 23. Define Memo Lines
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- 24. Assign Tax Condition Classes and Fiscal Classifications to Memo Lines
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- 25. Define Transaction Types
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- 26. Define Latin Tax Groups
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- 27. Assign Tax Group to Transaction Types
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- 28. Define Tax Exceptions by Fiscal Classification
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- 29. Define Tax Exceptions by Items
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- 30. Define Tax Exceptions by Customer Site
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- 31. Define Tax Exceptions by Transaction Condition Value
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- 32. Define Latin Tax Rules
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- 33. Define Legal Messages
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- 34. Associate Legal Messages and Tax Rules
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- How the Latin Tax Engine Calculates Taxes
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- Using the Customer Interface Program
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- Mapping Globalization Flexfield Context Codes
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- Mapping Globalization Flexfield Segments
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- Customer Interface Transfer Report
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- Taxpayer ID Validations
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- Using the AutoInvoice Interface Program
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- Mapping Globalization Flexfield Context Codes
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- Mapping Globalization Flexfield Segments
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- Oracle Assets
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- Inflation Adjustment Overview
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- Maintaining Both Historical and Inflation-Adjusted Amounts
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- Maintaining Only Inflation-Adjusted Amounts
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- Setting Up Oracle Assets for Inflation Adjustment
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- Enable Automatic Revaluation Rate Calculation
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- Define Inflation Ratio Precision
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- Define Price Indexes
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- Set Up Depreciation Books
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- Set Up Asset Categories
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- Define Inflation Start Dates
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- Set Up Assets in a Depreciation Book
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- Adjusting Assets for Inflation
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- Running the Calculate Gains and Losses Program
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- Revaluing Assets
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- Performing Oracle Assets Procedures
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- Capitalizing CIP Assets
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- Retiring Assets
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- Running Depreciation
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- Running the Create Journal Entries Process
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- Running the Latin American Fixed Assets Inflation Adjustment of Retired Assets Program
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- Running the Journal Import Process
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- Regional Fixed Assets Inflation Adjusted Asset Summary Report
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- Statutory Reports
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- Statutory Asset Ledger Report
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- Statutory Asset Cost Detail Report
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- Statutory Asset Reserve Detail Report
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- Fixed Assets Register Report
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Argentina
- Oracle General Ledger
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- Inflation Adjustment Overview
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- Using Inflation Adjustment Based on a Price Index
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- Using the Inflation Adjustment Date
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- Oracle Payables
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- Withholding Tax in Argentina
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- Income Tax Withholding
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- VAT Withholding
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- Turnover Tax Withholding
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- Employer Contribution Withholding (SUSS)
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- Argentine Simplified Regime Contributors (Monotributistas)
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- Setting Up Oracle Payables for Withholding Tax
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- 1. Enable Extended Automatic Withholding Tax Calculation
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- 2. Define Payables Options
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- 3. Define Province Jurisdiction
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- 4. Define Zones
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- 5. Define Tax Authority Categories
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- 6. Define Locations
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- 7. Define Suppliers
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- 8. Define Tax Authority ID Types
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- 9. Define Supplier Provincial Inscription Numbers
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- 10. Define Withholding Tax Types
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- 11. Define Withholding Tax Codes and Rates
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- 12. Define Company Withholding Applicability
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- 13. Define Supplier Withholding Applicability
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- 14. Define Legal Transaction Categories
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- 15. Define Transaction Letters
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- 16. Define Tax Authority Transaction Types
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- 17. Define DGI Transaction Types
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- Tax Treatment in Argentina
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- Tax Treatment Features
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- Entering Tax Regime Reporting Code for VAT Perceptions Tax
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- Invoices
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- Entering Withholding Information
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- Maintaining Withholding Tax Codes
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- Payments
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- Defining DGI Currency Codes
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- Argentine Payables Withholding Certificate
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- Argentine Payables Withholding Flat File
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- Argentine Payables Supplier Statement Report
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- Argentine Payables VAT Buying Report
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- Argentine Payables Purchasing Flat File
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- Argentine Payables CITI Flat File
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- Argentine Payables Perceptions Taken Flat File
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- Oracle Receivables
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- Latin Tax Engine
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- Tax Treatment in Argentina
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- Tax Treatment Features
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- VAT
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- Additional VAT
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- VAT Not Categorized
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- VAT Non Taxable
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- VAT Perception
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- Provincial Turnover Perceptions
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- Excise
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- Municipal Perceptions
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- Argentine Tax Handling
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- Setting Up for VAT, Provincial Turnover Perceptions, Municipal Perceptions, and Excise
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- 1. Define System Options
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- 2. Define Tax Conditions
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- 3. Define Tax Condition Values
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- 4. Define Legal Message Exception Codes
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- 5. Define Tax Categories
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- 6. Associate Tax Categories with Tax Conditions and Values
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- 7. Define Tax Codes and Rates
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- 8. Define Tax Condition Classes for Organizations
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- 9. Assign Tax Condition Classes to Organizations
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- 10. Define Tax Condition Classes for Customers
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- 11. Assign Tax Condition Classes to Customers
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- 12. Define Tax Exceptions by Customer Site
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- 13. Define Tax Condition Classes for Transactions
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- 14. Define Fiscal Classifications
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- 15. Assign Tax Condition Classes and Fiscal Classifications to Items
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- 16. Assign Tax Condition Classes and Fiscal Classifications to Memo Lines
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- 17. Define Latin Tax Group
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- 18. Assign Tax Group to Transaction Types
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- 19. Define Exceptions by Transaction Condition Value
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- 20. Define Latin Tax Rules
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- 21. Define Legal Messages
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- 22. Associate Legal Messages and Tax Rules
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- 23. Associate DGI UOM Codes with UOM Codes
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- Latin Tax Reports
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- Argentine Receivables Income Tax Self-Withholding Report
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- Argentine Receivables CITI Flat File
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- Argentine Receivables VAT Sales Report
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- Argentine Receivables Perceptions Flat File
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- Argentine Receivables Other Perceptions Flat File
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- Argentine Receivables Sales Flat File
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- Argentine Receivables Sales Documents Duplicates Flat File
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- Argentine Receivables Withholding Taken Flat File
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- Entering Withholding Tax Information for Receipts
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- Defining Fixed Asset Exceptions
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- Collection Processing Overview
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- Transaction Numbering Overview
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- Setting Up Transaction Numbering
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- 1. Define the Branch Numbering Method
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- 2. Define VAT Document Letters
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- 3. Define Branch Numbers
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- 4. Assign Branch Numbers
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- 5. Define Transaction Sources
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- 6. Define Order Management Transaction Types
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- 7. Define Source and Type Relationships
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- Defining DGI Currency Codes
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- Argentine Receivables AutoInvoice Batch Source Update Program
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- Argentine Receivables AutoInvoice Batch Source Update Report
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- Argentine Receivables AutoInvoice Programs
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- Oracle Assets
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- Inflation Adjustment Overview
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- Inflation Adjustment Setup
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- Set Up Depreciation Books
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- Define Asset Groups
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- Set Up Asset Categories
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- Set Up Assets in a Depreciation Book
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- Argentine Exhibit of Fixed Assets Report
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- Oracle Order Management
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- Entering Order Management Information
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- Entering Sales Order Information
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- Marking Tax Categories
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Brazil
- General Setup
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- Defining Lookup Codes
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- Defining a Business Day Calendar
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- Creating a Workday Exception Template
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- Creating the Business Day Calendar
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- Defining Local Holidays
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- Oracle Payables
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- Entering and Associating Collection Documents
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- Manually Entering Collection Documents
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- Manually Associating Collection Documents
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- Correcting Collection Documents
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- Electronic Collection Document
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- Consolidate Billing
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- Major Features
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- Interest
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- Major Features
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- Brazilian Payables Consolidated Invoice Register Report
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- Brazilian Payables Cancelled Consolidated Invoices Register Report
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- Brazilian Payables Associated Trade Notes and Bank Collection Documents Report
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- Brazilian Payables Non-Associated Trade Notes and Bank Collection Documents Report
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- Brazilian Payables Import Bank Collection Documents Report
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- Oracle Receivables
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- Tax
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- Major Features
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- Bank Transfer
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- Major Features
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- Billing
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- Major Features
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- Interest
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- Major Features
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- Setting up Brazilian Receivables
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- Defining System Options
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- Defining Customer Profile Classes
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- Entering Customers
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- Defining Receipt Classes
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- Defining Remittance Banks
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- Defining Remit-To Addresses
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- Defining Transaction Types
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- Defining Invoice Sub-Series
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- Defining Locations for an Organization
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- Entering Information for Locations
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- Defining Memo Lines
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- Defining Freight Carriers
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- Defining Tax Codes and Rates
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- Defining Global Receipt Method Accounts
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- Defining Master Items
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- Defining Bank Occurrences
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- Defining Bank Instructions
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- Defining Latin Tax Categories
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- Defining Latin Legal Messages
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- Defining Latin Tax Groups
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- Defining Latin Tax Locations
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- Defining Latin Fiscal Classifications
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- Defining Latin Tax Exceptions by Fiscal Classification
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- Defining Latin Tax Exceptions by Item
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- Defining Latin Tax Rules
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- Managing Invoices
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- Entering Invoice Information
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- Entering Interest for Invoices
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- Entering Tax for Invoices
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- Entering Billing Information for Invoices
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- Entering Bank Transfer Information for Invoices
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- Correcting Invoices
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- Canceling Invoices
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- Entering Bank Collection Information
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- Creating Bank Transfer Remittance Batches
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- Automatically Creating Bank Transfer Remittance Batches
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- Status Field Table
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- Manually Creating Bank Transfer Remittance Batches
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- Modifying Bank Transfer Remittance Batches
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- Formatting Remittance Batches
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- Entering Bank Occurrences
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- Creating Occurrence Remittance Batches
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- Entering Bank Return Occurrences
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- Correcting Bank Return Occurrences
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- Importing Bank Return Occurrences
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- Posting Bank Returns
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- Running the GL Interface Program
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- Managing Receipts
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- Entering Receipts
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- Entering QuickCash Receipts
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- Merging Customers
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- Reports
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- Brazilian Receivables Invoice Print
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- Brazilian Receivables Complementary Invoices
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- Brazilian Receivables Customer Interface Error Report
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- Brazilian Receivables Customer Account Detail Report
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- Brazilian Receivables Collection Remittance Batch Report
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- Brazilian Receivables Occurrences Remittance Batch Report
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- Brazilian Receivables Factoring Remittance Batch Report
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- Brazilian Receivables Bank Return Import Report
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- Brazilian Receivables Post Bank Return Report
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- Brazilian Receivables Bank Collection GL Interface Report
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- Oracle Order Management
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- Entering Order Management Information
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- Entering Sales Order Information
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- Entering Delivery Information
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- Marking Tax Categories
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Chile
- Oracle General Ledger
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- Inflation Adjustment Overview
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- Adjusting Balances Based on a Price Index
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- Using Inflation Adjustment Based on a Price Index
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- Using the Inflation Adjustment Date
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- Revaluing Balances Based on a Foreign Exchange Rate
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- Revaluing Balances Based on a Direct Foreign Exchange Rate
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- Revaluing Balances Based on a Foreign Exchange Rate Using a Stable Currency
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- Setup (Legal Journal Categories)
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- Enable Sequential Numbering
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- Define Document Sequences
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- Assign Document Sequences to Internal Journal Categories
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- Entering Journals
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- Defining a Cash Accounting Model
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- Chilean General Ledger Cash Ledger Report
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- Oracle Receivables
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- Chilean Receivables Sales Ledger Overview
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- Document Classification Overview
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- Setup
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- Define Transaction Types
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- Define Transaction Batch Sources
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- Enable Sequential Numbering
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- Define Document Sequences
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- Define Document Categories
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- Define Sequence Assignments
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- Tax Reporting Codes Overview
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- Assigning Tax Reporting Codes
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- Chilean Receivables Sales Ledger Report
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- Oracle Payables
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- Document Type Overview
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- Assigning Document Types
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- Chilean Payables Purchase Ledger Report
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- Chilean Payables Withholding of Fees Ledger Report
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- Defining Sequences for Withholding Tax Certificate Numbering
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- Enabling Sequential Numbering
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- Defining Document Sequences
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- Defining Sequence Assignments
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- Chilean Payables Withholding Certificate Overview
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- Chilean Payables Professional Fees Certificate
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- Chilean Payables Professional Fees and Participation Certificate
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- Chilean Payables Withholding Certificate Summary Report
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- Chilean Payables Supplier Statement Report
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- Oracle Assets
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- Inflation Adjustment Overview
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- Inflation Adjustment Setup
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- Set Up Depreciation Books
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- Set Up Asset Categories
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- Set Up Assets in a Depreciation Book
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- Revaluing Assets
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Colombia
- Third Party Management
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- Third Party Information
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- Use of the Third Party ID
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- Setting Up Oracle Financials for Third Party Management
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- Setting Up General Ledger
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- Setting Up Oracle Payables
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- Setting Up Oracle Receivables
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- Setting Up Oracle Purchasing
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- Entering Third Party Information
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- Entering Journal Line Third Party Information
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- Entering Supplier Third Party Information
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- Entering Multiple Third Party Information for Invoices
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- Entering Customer Third Party Information
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- Maintaining Third Party Information
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- Loading Non-Oracle Application Transactions
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- Generating Third Party Balances
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- Correcting Third Party Balances
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- Colombian Account/Third Party Report
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- Colombian Third Party/Account Report
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- Oracle General Ledger
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- Magnetic Media Reporting
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- Literal and Subliteral Definition
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- Reported Values
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- Report Groupings
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- Threshold Values
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- Setting Up Magnetic Media Information
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- Defining Literals and Subliterals
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- Assigning Ranges of Accounting Flexfield Segments
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- Colombian Magnetic Media Literal Configuration Verification Report
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- Generating the Magnetic Media File
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- Colombian Magnetic Media Get Movements Program
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- Colombian Magnetic Media Apply Thresholds Program
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- Colombian Magnetic Media Generate File Program
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- Colombian Magnetic Media Literals, Accounts and Third Party Movement Report
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- Colombian Magnetic Media Literals and Third Party Movement Report
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- Setting Up the Unique Chart of Accounts
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- Oracle Payables
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- Withholding Tax Overview
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- Withholding Tax and Calculation
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- Income Tax Withholding
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- VAT Withholding
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- Industry and Trade Tax Withholding
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- Remittance Tax Withholding
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- Stamp Tax Withholding
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- Setting Up Withholding Tax
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- Enable Extended Automatic Withholding Tax Calculation
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- Define Payables Options
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- Define Suppliers and Supplier Sites
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- Define Lookup Codes
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- Define Locations
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- Define Tax Withholding Types
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- Define Tax Codes and Rates
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- Define Your Withholding Applicability
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- Define Your Supplier's Withholding Applicability
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- Entering Documents
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- Colombian Payables Withholding Certificate Report
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- Colombian Payables Withholding Report
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- Oracle Inventory
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- Inflation Adjustment for Inventory
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- Inventory Inflation Adjustment Setup Steps
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- Define a Price Index
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- Assign the Inflation Index
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- Define Item Category Set and Categories
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- Assign the Item Category Set and Categories
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- Assign the Name of the Category Set and Categories
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- Define Inflation Adjustment GL Accounts
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- Assign Inventory Inflation Adjustment Accounts to Items
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- Load the Historical Data
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- Inventory Inflation Adjustment Processing
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- Enter the Inflation Adjustment Index Value for the Current Period
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- Close the Accounting Period
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- Run the Inflation Adjustment Processor
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- Print the Kardex Reports
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- Review Calculations in the Kardex Reports
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- Transfer the Adjustment Transactions to General Ledger
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- Calculating the Inventory Inflation Adjustment
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- Fiscal Kardex Reports
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- Oracle Receivables
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- Income Tax Self Withholding and VAT
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- Withholding Responsibility
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- Value Added Tax (VAT)
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- Latin Tax Engine
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- Calculating Income Tax Self Withholding and VAT
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- Income Tax Self Withholding
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- VAT
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- Setting Up for Income Tax Self Withholding and VAT
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- Define System Options
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- Define Tax Conditions
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- Define Tax Condition Values
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- Define Tax Categories
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- Associate Tax Categories with Tax Conditions
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- Define Tax Codes and Rates
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- Define Tax Condition Classes for Organizations
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- Assign Tax Condition Classes to Organization Locations
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- Define Tax Condition Classes for Customers
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- Assign Tax Condition Classes to Customers
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- Define Tax Condition Classes for Transactions
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- Define Fiscal Classifications
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- Assign Tax Condition Classes and Fiscal Classifications to Items
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- Assign Tax Condition Classes and Fiscal Classifications to Memo Lines
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- Define Tax Group
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- Assign Tax Group to Transaction Types
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- Define Tax Rules
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- Entering Transactions
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- Self Withholding Income Tax Example
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- Colombian Receivables Income Tax Self Withholding Report
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- Defining the VAT Tax Category
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- Colombian Receivables Sales Fiscal Book Report
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- Colombian Receivables Cash Receipt Report
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- Oracle Assets
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- Inflation Adjustment Overview
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- Inflation Adjustment Setup
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- Define Journal Categories
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- Set Up Depreciation Books
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- Set Up Asset Categories
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- Set Up Assets in a Depreciation Book
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- Accounting for Deferred Depreciation Balances
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- Accounting for Deferred Monetary Correction Credit Balances
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- Accounting for Deferred Monetary Correction Charge Balances
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- Adjusting Assets for Inflation
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- Revaluing Assets
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- Generating Inflation Adjustment Journal Entries
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- Transferring Inflation Adjustment Journal Entries to General Ledger
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- Running the Journal Import Process
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- Reporting Inflation Adjustment Information
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- Colombian Fixed Assets Inflation Adjusted Drill Down Report
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