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Oracle Revenue Management and Billing Cloud Service, Premium Edition
Oracle Revenue Management and Billing Cloud Service, Premium Edition
  1. Home
  2. Oracle Revenue Management and Billing
  3. Administrative Processes
  4. Oracle Revenue Management and Billing Administrative Processes
  5. Preparing To Implement
  6. Fund Accounting Table Setup Sequence
  • Oracle Revenue Management and Billing
    • Business Processes
    • Administrative Processes
      • Oracle Utilities Application Framework Administrative Processes
      • Oracle Revenue Management and Billing Administrative Processes
        • Preparing To Implement
          • Control Table Setup Sequence
          • Cross Reference To The Remaining Chapters
          • Open-Item Accounting Table Setup Sequence
          • Fund Accounting Table Setup Sequence
          • Payment Event Distribution Table Setup Sequence
          • Loans Table Setup Sequence
          • Quotes Table Setup Sequence
          • Scripting Table Setup Sequence
          • Reports Setup Sequence
          • XML Application Integration Setup Sequence
          • Case Management Setup Sequence
          • Batch Scheduler Setup Sequence
          • Zone Set Up
          • To Do Options Setup
        • Defining General Options Addendum
        • Defining Financial Transaction Options
        • Defining Customer Options
        • Defining Credit & Collections Options
        • Defining Cycles
        • Defining Contract Types
        • Background Processes Addendum
        • Defining Service Credit Options
        • Defining Loan Options
        • Defining Quotation Options
        • Defining Case Management Options
        • Workflow and Notification Options
        • Security Addendum
        • Defining Overdue Processing Options
        • Defining Batch Schedule Options
        • Configuring Zones
        • CTI-IVR Integration
    • Cloud Service Foundation

Fund Accounting Table Setup Sequence

Fund accounting tables need only be set up if your organization practices Fund Accounting. Refer to Setting Up The System To Enable Fund Accounting for a description of the tables that must be set up to enable this functionality.

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