Joint Venture Application Administrator (Job Role)
Superuser responsible for administering all aspects of the joint venture application.
Role Hierarchy
The Joint Venture Application Administrator job role directly and indirectly inherits these roles.
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Joint Venture Application Administrator
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Accounting Hub Administration
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Business Intelligence Consumer
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Functional Setups User
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Functional Setups
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Duties
This table lists the duties assigned directly and indirectly to the Joint Venture Application Administrator job role.
Duty Role | Description |
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Accounting Hub Administration |
Configures the accounting hub for a source system. |
Business Intelligence Consumer |
A role required to allow reporting from Business Intelligence Applications, Business Intelligence Publisher, Real Time Decisions, Enterprise Performance Management and Business Intelligence Office. This role allow you to run reports from the web catalog but it will not allow a report to be authored from a subject area. |
Functional Setups |
Uses the functional user overview, and assigned tasks, and task lists. |
Privileges
This table lists privileges granted to duties of the Joint Venture Application Administrator job role.
Granted Role | Granted Role Description | Privilege | Privilege Description |
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Accounting Hub Administration |
Configures the accounting hub for a source system. |
Activate Subledger Journal Entry Rule Set Assignments |
Allows submission of the program to activate subledger journal entry rule set assignments to accounting method. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Create Journal Entries for New Reporting Currency or Secondary Ledger |
Create Journal Entries for New Reporting Currency or Secondary Ledger |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Create and Assign Subledger Standard Source |
Allows submission of the process to generate sources and source assignments based on the object definitions. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Define Subledger Application |
Allows creation or update of the subledger application. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Define Subledger Transaction Account Type |
Allows the creation or update of the subledger transaction account type. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Generate Objects for Subledger Transaction Account Type |
Generate Objects for Subledger Transaction Account Type. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Import Subledger Balance for Supporting Reference |
Allows submission of the program to upload initial subledger balance for supporting reference. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Import Subledger Control Balance |
Run program to upload third party initial balances |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage All Application Profile Values |
Allows management of all application profile option settings and values at various levels to control application behavior. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Application Common Lookup |
Not Available |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Application Set-Enabled Lookup |
Manage sub-type entities stored in the Application Set-Enabled Lookup entity. Lookup Types are lists of values such as Days of the Week or Yes/No which can be used to validate column values. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Application Standard Lookup |
Manage sub-type entities stored in the Application Standard Lookup Values entity. Lookup Types are lists of values such as "Days of the Week" or "Yes/No" which can be used to validate columns values. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Account Rule |
Allows creation or update of the subledger account rule. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Accounting Attribute |
Allows update of the assignment of sources to accounting attributes. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Accounting Class Usage |
Allows creation or update of the accounting class assignments. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Accounting Existing Scope |
Allows creation or selection of subledger application context for setup scope. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Accounting Method |
Allows creation or update of the subledger accounting method. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Accounting Option |
Allows update of the subledger accounting options for a ledger. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Application Transaction Object |
Allows creation or update of the subledger application transaction object. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Custom Source |
Define custom sources to be used in subledger journal entry rule sets |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Description Rule |
Allows creation or update of the subledger description rule. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Formula |
Allows creation or update of the subledger formula. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Journal Entry Rule Set |
Allows creation or update of the subledger journal entry rule set. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Journal Line Rule |
Allows creation or update of the subledger journal line rule. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Mapping Set |
Allows creation or update of mapping set. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Mapping Set Value |
Allows creation or update of mapping set value. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Standard Source |
Allows creation or update of subledger sources. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Supporting Reference |
Allows creation or update of the subledger supporting reference. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Manage Subledger Transaction Account Definition |
Allows register and maintain of the subledger application and its corresponding event model such as event classes and event types. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Purge Accounting Event Diagnostic Data |
Allows submission of programs to generate and purge transaction objects diagnostics data. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Account Rule |
Allows review of the subledger account rule. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Accounting Attribute |
Allows review of the assignment of sources to accounting attributes. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Accounting Method |
Allows review of the subledger accounting method. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Accounting Option |
Allows review of the subledger accounting options for a ledger. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Application |
Allows review of the subledger application. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Custom Source |
Define custom sources to be used in subledger journal entry rule sets |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Description Rule |
Allows review of the subledger description rule. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Formula |
Allows review of the subledger formula. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Journal Entry Rule Set |
Allows review of the subledger journal entry rule set. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Journal Line Rule |
Allows review of the subledger journal line rule. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Mapping Set |
Allows review of mapping set. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Standard Source |
Allows review of subledger sources. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Supporting Reference |
Allows review of the subledger supporting reference. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Transaction Account Definition |
Allows review of the subledger application and its corresponding event model such as event classes and event types. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Review Subledger Transaction Account Type |
Allows review of the subledger transaction account type. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Submit Accounting Event Diagnostic Report |
Allows submission of programs to generate and purge transaction objects diagnostics data. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Update Subledger Accounting Balance |
Allows submission of the program to update subledger third party account and supporting reference balances. |
Accounting Hub Administration |
Configures the accounting hub for a source system. |
Update Subledger Application |
Allow submission of the program to update subledger application options when there is a new subledger application registered or updates are made to event model, event class, or event type - after ledgers are defined. |
Functional Setups |
Uses the functional user overview, and assigned tasks, and task lists. |
Execute Setup Tasks |
Allows setup task execution and searching of tasks and tasks lists. |
Functional Setups |
Uses the functional user overview, and assigned tasks, and task lists. |
Review Applications Offering |
Provides access to the Getting Started page. |
Functional Setups |
Uses the functional user overview, and assigned tasks, and task lists. |
Review Setups Functional User Overview |
Allows access to the Assigned Implementation Tasks page. |
Functional Setups |
Uses the functional user overview, and assigned tasks, and task lists. |
Setup and Maintain Applications |
Allows access to the Setup and Maintenance work area. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Import Joint Venture Setups |
Allows the migration and upload of joint venture setup data. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Carried Interest Agreements |
Allows the management of carried interest agreements. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Account Sets |
Allows the management of joint venture account sets. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Assignment Rules |
Allows the management of joint venture assignment rules. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Definition |
Allows the management of joint venture definitions. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Invoice Partner List |
Allows the management of the list of joint venture partners and their associated Supplier and Customer identifiers. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Overhead Methods |
Allows the management of joint venture overhead methods. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Periodic Adjustment Factors |
Allows the management of joint venture periodic adjustment factors for overhead methods. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture Project Sets |
Allows for the management of joint venture project sets. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
Manage Joint Venture System Setup |
Allows users to setup system options for joint ventures. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
View Customers |
Allows the viewing of the customer, account and the site information. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
View Joint Venture Invoicing Partners |
Allows users to view invoicing partners for joint ventures. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
View Supplier List of Values Using REST Service |
Allows access to REST services list of values for suppliers that will be consumed cross pillars. |
Joint Venture Application Administrator |
Superuser responsible for administering all aspects of the joint venture application. |
View Trading Community Person |
Allows exporting, searching, and viewing of person details such as addresses, classifications, identifiers, and names. |
Data Security Policies
This table lists data security policies and their enforcement across analytics application for the Joint Venture Application Administrator job role.
Business Object | Policy Description | Policy Store Implementation |
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Joint Venture |
A Joint Venture Application Administrator can manage joint venture for the joint venture business units they are authorized to manage |
Role: Joint Venture Application Administrator Privilege: Manage Joint Ventures Resource: Joint Venture |
Joint Venture |
A Joint Venture Application Administrator can view joint venture for the joint venture business units they are authorized to view |
Role: Joint Venture Application Administrator Privilege: View Joint Ventures Resource: Joint Venture |
Ledger |
A Joint Venture Application Administrator can manage ledger for subledger data in a data access set |
Role: Joint Venture Application Administrator Privilege: Manage Ledger for Subledger (Data) Resource: Reference Data Set |
Ledger |
A Joint Venture Application Administrator can report ledger for the ledgers for which they are authorized |
Role: Joint Venture Application Administrator Privilege: Report Oracle Fusion General Ledger (Data) Resource: Ledger |
Project |
A Joint Venture Application Administrator can view project for the projects belonging to the bu with project accounting business function that they are authorized to. |
Role: Joint Venture Application Administrator Privilege: Get Project List Using Service (Data) Resource: Project |
Subledger Accounting Balance |
A Joint Venture Application Administrator can manage subledger accounting balance for the subsidiaries or management segment values whose account balance they manage |
Role: Accounting Hub Administration Privilege: Manage Subledger Accounting Balance (Data) Resource: Subledger Accounting Balance |
Trading Community Address |
A Joint Venture Application Administrator can view trading community address for all customer addresses in the enterprise |
Role: Joint Venture Application Administrator Privilege: View Trading Community Person Address (Data) Resource: Trading Community Address |
Trading Community Contact Point |
A Joint Venture Application Administrator can view trading community contact point for all customer contacts in the enterprise |
Role: Joint Venture Application Administrator Privilege: View Trading Community Person Contact (Data) Resource: Trading Community Contact Point |
Trading Community Customer Account |
A Joint Venture Application Administrator can view trading community customer account for all customer accounts in the enterprise |
Role: Joint Venture Application Administrator Privilege: View Customer Account (Data) Resource: Trading Community Customer Account |
Trading Community Customer Account Site |
A Joint Venture Application Administrator can view trading community customer account site for all customer account sites in the enterprise |
Role: Joint Venture Application Administrator Privilege: View Customer Account Site (Data) Resource: Trading Community Customer Account Site |
Trading Community Customer Account Site |
A Joint Venture Application Administrator can view trading community customer account site for the reference data sets for which they are authorized |
Role: Joint Venture Application Administrator Privilege: View Customer Account Site (Data) Resource: Reference Data Set |
Trading Community Customer Account Site Use |
A Joint Venture Application Administrator can view trading community customer account site use for all customer account site uses in the enterprise |
Role: Joint Venture Application Administrator Privilege: View Customer Account Site Use (Data) Resource: Trading Community Customer Account Site Use |
Trading Community Party |
A Joint Venture Application Administrator can view trading community party for all people in the enterprise |
Role: Joint Venture Application Administrator Privilege: View Trading Community Person (Data) Resource: Trading Community Party |