Oracle Fusion Financials can be termed as a full financial management solution in the software system. Basically, it includes a standards-based platform for customers to improve their business ability and business processes. It also revolutionizes the productivity and information access with native, real-time intelligence and it also includes broad suites of applications. Fusion Financials is determined as a modular suite of financial applications which are designed to work for a complete financial solution or as modular extensions for our existing financial applications portfolio. We offer Oracle fusion financials training in Ameerpet to students and employees to improve their financial business for future growth and lower office costs.

It is a total set of Oracle fusion applications which includes the suite of general ledger, cash management, fixed assets, accounts payables, accounts receivables, tax, and expenses.

It is a subset of the Oracle Fusion Applications suite which basically transforms the productivity of business and information access related to real-time intelligence. Generally, It is a comprehensive application which helps us to run the complete business firm by catering to the needs of end users. In today’s fast growing technology, It play a major role by combining the capabilities across financial solutions and also delivers a constructive solution with high quality, as it helps the financial professionals with the right information at right time.

It is termed as a benchmark for software as a service (SaaS) platform basically which enables the whole set of enterprise cloud services by ensuring customer success, increasing efficiency, lowering IT costs, and continuous growth. It provides the services in an integrated financial management suite, which is developed and designed in such a high terminology as that is useful for automation, streamlining and also managing the organization’s financial management tasks, processes from an end-to-end user perspective. It also comprises the broad suite of comprehensive applications which are totally integrated into the system modules.

Characteristics of Financial Reporting: Nowadays, the multinational firms and corporate companies are under high pressure to deliver the information in an accurate and authentic manner more effectively for both internal as well as external decision change makers. Oracle Fusion delivers a unique platform for reporting which is constructed in a native manner that represents on the top of the multi-dimensional data model. The functions of Oracle fusion financial also support financial management reporting and analysis needs that are obtained from a single source.

It also balances the pre-aggregated data at every possible stage and also supports in making reports, online queries and multi-dimensional analysis for financial management very fast based on the needs of end users in a different data warehouse modules. The oracle fusion financial reporting center provides a single location to distribute data with secure and also to access reports based on real-time accounting information that is present in live transactions which happen by supporting complete drill-downs.

Characteristics of Users Decisions: The Chief Financial officers enable themselves more reliable in thinking by providing the contribution to embedded intelligence within the loop of business transactions. The users can enter and check their transactions as it is displayed in the same window by using real-time intelligence, so there is no need to drill down or browse for a separate page simultaneously. There is more consistency in usage of smart receipts by increasing the number of payments which can be implemented automatically, as it makes our processing extremely fast and convenient.

There are some cases regarding Course basically in payment receivables the customer payments to outstanding invoices are completed with a weighted reference score and also managing payments exceptions play a vital role in the finance. Based on the priority of invoices we can estimate the weighted score and also can be used by quickly deciding which payments to be applied regarding matching rules that are defined through financials and also what exceptions should be recommended to be in the case study.

Characteristics of Productivity: It supports multiple productivity tools at a versatile level that initially helps us to capture business transactions with more efficiency and lower costs which are necessary for resource-intensive tasks that can be done without compromising controls related to productivity. It also delivers extensive data spreadsheet integration across many financial functions, allowing finance end users to work in familiar surroundings that are highly efficient. Spreadsheets are seamlessly integrated with the applications for high volumes of data entry and single click uploads.

At present organizations are under increasing pressure to deliver precise and reliable information rapidly and more efficiently to internal and external financial decision makers. Oracle supports financial reporting and analysis needs from a unique source. This means fewer systems to support and manage, less information to move between systems, and faster access to numbers to make financial decisions. Fusion Financials delivers a single reporting platform that is natively designed on top of a multi-dimensional data model seamlessly embedded within General Ledger. The corresponding multi-dimensional data model is created when setup data is entered or updated as transactions are posted. Balances are pre-aggregated at each and every possible summarization level and are simultaneously refreshed making financial reports, online queries, and multi-dimensional analysis extremely fast. This architecture allows for pivot and drill-downs to any level and unlimited hierarchies for comparison and rolls up.

Fusion Financials does more of the thinking for you by providing embedded business intelligence within the context of financial business transactions. Real-time intelligence is displayed in the same area within the window where end users enter transactions so they don’t have to drill-down or go to a different page.

The main features of fusion financials include innovation embedded multi-dimensional reporting platform, Embedded transactional intelligence guide users decisions, Simultaneous accounting of multiple reporting needs, Role-based dashboards issues and work to users, Extensive data spreadsheet integration across financial functions, and Out of the box imaging integration for supplier invoices.

The key benefits of fusion financials include Close faster with visualization and observing the close status for general ledgers and sub-ledgers in related subsidiaries, Comply with global accounting standards and many legislative firms or geographic needs, Benefit real-time access to live fusion financial information, Lower transaction processing costs and data entry bugs, Pro-active issue resolution for automated processing, Saving training costs and improve productivity when handling large volumes of information, and Improve business decisions and improve accuracy during transaction entry.

Oracle Fusion Financials Training in Ameerpet is provided by our real-time experts on Oracle fusion applications for over more than 10 years. In our training program, we teach all modules on Oracle fusion applications and implement them in real-time projects. Our training program teaches if your organization is using Oracle Fusion Financial Applications, you have come to the right place for certified training in Ameerpet. If you want to take Oracle Fusion Financials Training in Hyderabad you can visit this page.

We deliver in-depth training on all oracle fusion applications and all its modules at Ameerpet. Our training will introduce all concepts in fusion financials. With our training, we have trained many students, on-job professionals, employees and they are placed in good MNC’s with hike payroll. We have daytime batch and evening batch classes in classroom training.

We provide the real-time Projects and Placement assistance in ORACLE FUSION FINANCIALS  training in Ameerpet. In our training program, we teach you how to implement, configure, and usage of Oracle concepts. Our course structure includes from basic level to advanced level and is build to get the placements in MNC’s, once you complete your fusion financials certification training course. We have well-certified oracle experts and working professionals with real-time hands on multiple oracle fusion projects. In training part, we will cover how the Oracle finance modules linked with other modules. Ths is the best spot to get more course details of Oracle Fusion Financials Training.

We are the pioneers in classroom-based training and web-based training in Ameerpet and we are said to be leading trainers in all over the world from data technology. We have the best-certified experts with outstanding knowledge on Oracle applications development, thus keeping them on the line in between theoretical knowledge and real-time experience. We have a look at maintaining the batch size in classroom training to maintain good interaction with them while teaching with each and everyone. We have more than ten years of real-time experience in training the students on Oracle applications and having a dedicated vision for the students in placing them in MNC Company.

We have designed our course content based on current industry standard and students requirement. We are equipped with good lab facilities and infrastructure. We provide FUSION FINANCIALS certification training path for students in Ameerpet and also provide instance fusion access for practice and self-paced videos for learning.

Oracle Fusion Financials Online Training:

Our online training program is designed to provide an effective learning experience for students and employees across all major locations in the world. Online Training will be conducted by our experienced professionals on Oracle fusion applications and its suite.

Oracle Fusion Financials Classroom Training:

We provide classroom training on Oracle Fusion Financials in Ameerpet, which is located in India. Our classroom-based training has been imparting quality teaching since ten years for IT career students in the Oracle fusion technology. In the classroom training, we clarify the queries of the students and also provide examples for easy understanding. They focus on financial business intelligence how to increase and expand their business in IT firms and decreasing back office costs.

Who have eligibility criteria to attend the Training in Ameerpet, is Oracle related job employees, IT professionals, Freelancers, Persons with Oracle knowledge, Oracle beginners, Students interest in Oracle subject.

ABOUT OUR ONLINE TRAINING PROGRAM IN AMEERPET:

  • Our professional is having more than ten years of hands-on Oracle fusion technologies
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  • We also offer free demo classes about basic concepts for students
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  • One can reach our training center by easy assessment itself
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  • Provide 24/7 instance access to practice and also self-paced videos for learning
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  • We are equipped with good lab facilities in our classroom training
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  • We had worked for many real-time oracle fusion projects
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  • We have trained and placed thousands of students in MNC companies
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  • They are having strong knowledge in theoretical and practical on oracle subject
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  • We are happy to say that we are said to be leading trainers across the world
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  • There online training is appreciated across the globe for its way of teaching

Oracle Fusion Cloud Financials Classroom & Online Training Course Content:

Table of Content

1.    Oracle Fusion General Ledger 
2.    Oracle Fusion Accounts Payables 
3.    Oracle Fusion Accounts Receivable 
4.    Oracle Fusion Cash Management 
5.    Oracle Fusion Fixed Assets 
6.    Oracle Fusion Expense 
7.    Oracle Fusion Tax 
8.    Oracle Fusion Purchasing 
9.    Oracle Fusion Product Management (Inventory) 
10.    Oracle Fusion Order Management 
11.    P2P Cycle (Procure to Pay Cycle) 
12.    O2C Cycle (Order to Cash Cycle)
13.    AGIS (Advanced Global Intercompany System) 
14.    Rapid Implementation (RI) 
15.    Reporting (Financial Reporting Studio (FRS), Smart View, BI Reports, OTBI) 
16.    Data Conversions/Data Migration (Suppliers, Customers, AP Open Invoices, 
        AR Open Transactions, Assets Conversion, GL Journals Conversion
17.    Security Console 
18.    Oracle Fusion Functional Setup Manager (FSM) 
19.    Oracle Business Process Management (BPM)

Other Concepts & Course Highlights:

1.    Enterprise Structure Definition
2.    Rapid Implementation using Spreadsheets
3.    Data Imports & Exports Process in FSM
4.    Third Party Application Integration with Fusion Cloud Applications (Process Overview)
5.    Invoice Imaging Solution
6.    Querying data from Database in Cloud
7.    BPM Approvals
8.    Complete course training delivered with EBS Comparisons
9.    Fresh Environment & Latest Version (Fusion Instance) based learning
 

Oracle Fusion General Ledger

General Ledger Basic Configuration
1.    Create Accounting Calendar
2.    Create/Enable Currencies
3.    Create Value Sets
4.    Create Chart of Accounts
5.    Create Chart of Accounts Instance
6.    Create Primary Ledger
7.    Setup Ledger Options
8.    Create Legal Entity
9.    Complete Primary Ledger Definition
10.    Assign GL Roles to User
11.    Provide Data Access for User
12.    Run LDAP Job
13.    Open GL Periods
14.    Account Hierarchy Creation

Transaction Process

1.    Understanding Role Based Dashboards
2.    Create Journals & Post
3.    Journal Approval Configuration & Testing
4.    Create Journals in ADFdi
5.    Loading Journals from FBDI Templates
6.    Foreign Currency Journals Setups & Process
7.    Reverse Journals Setups & Process
8.    Data Access Set Setups & Process
9.    Security Rules Setups & Process
10.    Cross-Validation Rules Setups & Process
11.    Create Ledger Set Setups & Process
12.    Create Reporting Ledger/Reporting Currency Setups & Process
13.    Create Secondary Ledger Setups & Process
14.    Auto Posting Setups & Process
15.    Auto Reversal Setups & Process
16.    Revaluation Setups & Process
17.    Translation Setups & Process
18.    Consolidation Setups & Process
19.    Generating Reports from Financial Reporting Studio (FRS)
20.    Generating Reports from Smart View
21.    Account Inspector 
23.    Account Monitor
24.    GL Period Close Process

Oracle Fusion Accounts Payables

Payables Basic Configuration

1.    Create Business Unit Locations
2.    Create Reference Data Sets
3.    Create Business Units
4.    Assign Business Unit Functions to Business Unit
5.    Create Legislative Data Group (LDG)
6.    Assign Legislative Data Group to LE
7.    Create Employee User
8.    Assign Implementation Consultant Roles to User
9.    Create Procurement Agents
10.    Setup Common Options for Payables and Procurement
11.    Invoice Options Configuration
12.    Payment Options Configuration
13.    Create Payment Terms
14.    Create Distribution Sets
15.    Setting up Suppliers Number
16.    Assign Supplier Roles to User
17.    Create Supplier
18.    Create Supplier Addresses
19.    Create Supplier Sites
20.    Assigning Supplier Sites to Procurement Business Units
21.    Create Banks
22.    Create Branches
23.    Create Bank Accounts
24.    Create Payables Documents
25.    Create Payment Method
26.    Defining Payment Formats
27.    Create Payment Process Profile
28.    Assign AP Roles to User
29.    Provide Data Access for User
30.    Submitting LDAP Job
31.    Open Payables Periods

Transaction Process:

1.    Standard Invoice Creation
2.    PO Based Invoice Creation
3.    Invoice Creation via Spreadsheet
4.    Debit Memo Invoice Creation
5.    Credit Memo Invoice Creation
6.    Payment Creation Process
7.    Creating Payment Process Request (PPR)
8.    Prepayment Invoice Process
9.    Withholding Tax Setups & Process
10.    Bills Payables Configuration & Process
11.    Pay Alone Configuration & Process
12.    Foreign Currency Invoice & Payment Configuration & Process
13.    Supplier Merge Process
14.    Interest Invoice Configuration & Process
15.    Recurring Invoice Configuration & Process
16.    Third Party Payments Configuration & Process
17.    Cross Currency Payments Configuration & Process
18.    Invoice Approval Configuration & Testing
19.    Security Profile Configuration & Testing
20.    Create Hold & Release Reason
21.    Supplier Refund Process
22.    Create Aging Periods & Testing
23.    Custom Roles
24.    File Based Data Import (FBDI) Process - Suppliers Conversion Process
25.    File Based Data Import (FBDI) Process - Open Invoices Conversion Process
26.    Creating Accounting Entries & Transferring to GL
27.    Payables Period Close Process
28.    Payables to General Ledger Reconciliation
29.    Creating BI Reports
30.    Creating OTBI Reports

Oracle Fusion Accounts Receivables

Receivables Basic Configuration

1.    Receivables System Options Configuration
2.    Define Transaction Types
3.    Define Transaction Sources
4.    Auto Accounting Configuration
5.    Create Payment Terms
6.    Create Statement Cycles 
7.    Collector Creation
8.    Create Customer Profile Class
9.    Create Reference Data Set for Customer Site
10.    Create Customer
11.    Create Customer Site/Address
12.    Create Remit-to-Address
13.    Memo Lines Creation
14.    Create Receivable Activities
15.    Create Receipt Classes & Methods
16.    Create Receipt Source
17.    Assign AR Roles to User
18.    Provide Data Access for User
19.    Submitting LDAP Job
20.    Open Receivables Periods

Transaction Process:

1.    Invoice Transaction Creation
2.    Credit Memo Transaction Creation
3.    Debit Memo Transaction Creation
4.      Transaction with Memo Lines
5.    Chargeback Setups & Transaction Creation
6.    Standard Receipt Creation
7.    Misc. Receipt Setups & Process
8.    Receipt/Batch Creation in Spreadsheet & Process
9.    Standard Receipt Reversal
10.    Debit Memo Receipt Reversal
11.    Reciprocal Customers Configuration & Process
12.    Cross Currency Receipts Configuration & Process
13.    Receipt Write-Off Configuration & Process
14.    Customer Refund Configuration & Process
15.    Aging Methods/Buckets & Testing
16.    Revenue Reorganization Configuration & Process
17.    Create Automatic Receipts
18.    Balance Forward Billing Configuration & Process
19.    Reviewing Customer Account Details
20.    File Based Data Import (FBDI) Process - Customers Conversion Process
21.    File Based Data Import (FBDI) Process - AutoInvoice Conversion Process
22.    Create Accounting Entries & Transfer to GL 
26.    Receivables Period Close Process
27.    Receivables to General Ledger Reconciliation

Oracle Fusion Cash Management

Cash Management Basic Configurations

1.    Assign CM Roles to User
2.    Create Bank Transaction Codes
3.    Bank Statement Reconciliation Matching Rules
4.    Bank Statement Reconciliation Rule Sets
5.    Bank Statement Transaction Creation Rules
6.    Cash Transaction Type Mapping
7.    Assign to Bank Account

Transaction Process

1.    Manual Bank Statement Creation
2.    Manual Reconciliation
3.    Automatic Reconciliation
4.    Generating External Cash Transactions - Automatic
5.    Creating External Cash Transactions - Manual

Oracle Fusion Fixed Assets

Fixed Assets Configuration

1.    Create Value Sets for Category KFF

2.    Create Value Sets for Location KFF
3.    Create Value Sets for Asset Key KFF
4.    Create Category KFF Structure
5.    Create Location KFF Structure
6.    Create Asset Key KFF Structure
7.    Create Category KFF Structure Instance
8.    Create Location KFF Structure Instance
9.    Create Asset Key KFF Structure Instance
10.    Create Segment Values to 3 KFF Segments
11.    Configure System Controls
12.    Create Fiscal Year Calendar
13.    Create Asset Calendar
14.    Define Prorate Convention
15.    Create Prorate Calendar
16.    Create Asset Book
17.    Create Tax Book
18.    Create Asset Categories
19.    Assign FA Roles to User
20.    Provide Data Access for User

 
Transaction Process

1.    Manual Additions
2.    Asset Creation using Spreadsheet/ADFdi
3.    Mass Additions
4.    Merge Asset Lines
5.    Split Asset Lines
6.    CIP Asset & CIP Capitalization
7.    Reclassification
8.    Run Depreciation (Draft/Final)
9.    Mass Copy
10.    What-if Analysis
11.    Rollback Depreciation
12.    Asset Retirement
13.    Asset Reinstatements
14.    File Based Data Import (FBDI) Process - Assets
15.    Create Accounting Entries & Transfer to GL
16.    Assets Period Close Process

Oracle Fusion Expense

Expense Configuration

1.    Setup Expense System Options
2.    Create Expense Report Templates
3.    Define Expense Approval Rules
4.    Set Default Expense Account for Employee
5.    Assign Roles to User
6.    Provide Data Access for User
7.    Run LDAP Job

Transaction Process

1.    Create Expense Report
2.    Approve Expense Report
3.    Process Expense Reimbursements
4.    Importing Expense Report into AP

 
Oracle Fusion Tax

Fusion Tax Configuration

1.    Create Tax Regime
2.    Create Taxes
3.    Create Tax Jurisdiction
4.    Create Tax Status
5.    Create Tax Rates
6.    Create Configuration Owner Tax Option
7.    Set Tax Validation
8.    Run " Geographies Validation"
9.    Create Location
10.    Assign Location to Supplier Site

Transaction Process

1. Test Tax Calculations in Tax Simulation
2. Payables Invoice Creation, Tax Calculation

P2P (Procure to Pay Cycle)

Inventory and Purchasing Configuration

1.    Create Inventory Location
2.    Assign Business Unit Business Function for Procurement
3.    Create Facility Shifts
4.    Create Facility Workday Pattern
5.    Create Facility Schedules
6.    Create Item Master Organization
7.    Create Actual Inventory Organization
8.    Create Subinventory
9.    Configure Procurement Business Function
10.    Configure Requisitioning Business Function
11.    Manage Common Options for Payables and Procurement
12.    Setup Receiving Parameters
13.    Create Procurement Agent
14.    Create Account Rule for Accrual Account
15.    Create Account Rule for Charge Account
16.    Create Account Rule for Variance Account
17.    Create Account Rule for Destination Charge
18.    Create Account Rule for Destination Variance
19.    Setup Transaction Account Definition
20.    Configure Subledger Accounting Options
21.    Setup Approvals for Requisition 
22.    Setup Approvals for Purchase Orders
23.    Assign PO Roles to User
24.    Provide Data Access for User
25.    Run LDAP Job
26.    Create Item Class
27.    Assign Inventory Roles to User
28.    Provide Data Access for User
29.    Run LDAP Job
30.    Create Items
31.    Assign Item to Inventory Organization
32.    Create Supplier & Site

Transaction Process (P2P)

1.    Create Requisition, Approve
2.    AutoCreate Purchase Order, Approve
3.    Create Receipt
4.    Perform Delivery
5.    Check OnHand Qty
6.    Create Invoice in AP by matching
7.    Process Payment

O2C (Order to Cash Cycle)

Order Management Configuration

1.    Setup Order Management Parameters
2.    Create Release Sequence Rules
3.    Create Pick Slip Grouping Rules
4.    Define Ship Confirm Rules
5.    Create Picking Rules
6.    Set Picking Rule Assignments
7.    Create Pick Wave Release Rules
8.    Create Staging Sub Inventory
9.    Configure Shipping Parameters
10.    Create Collector
11.    Create Payment Terms
12.    Create Statement Cycles
13.    Create Customer Profile Class
14.    Create Reference Data Set for Customer Site
15.    Assign Reference Data Set to BU
16.    Create Customer & Addresses (Site)
17.    Setup Customer Account Description
18.    Assign OM Roles to User
19.    Assign Pricing Roles to User
20.    Provide Data Access for User
21.    Run LDAP Job
22.    Create Price List
23.    Create Pricing Segment
24.    Create Strategy for Price List
25.    Create Customer Pricing Profile
26.    Create Pricing Segments
27.    Define Pricing Strategy Assignment
28.    Create Carriers (Shipping Methods)
29.    Create Transaction Types
30.    Collect Inventory Data
31.    Create Sourcing Rules
32.    Setup Sourcing Assignment Set
33.    Set Default Profile Option for Set
34.    Create ATP Rules
35.    Refresh data in OM
36.    Complete AR Configuration
37.    AutoAccounting - All Type of Accounts
38.    Open AR Periods

Transaction Process (O2C)

1.    Create Sales Order
2.    Validate Sales Order
3.    Book Sales Order (Submit)
4.    Pick Release
5.    Confirm Pick Release
6.    Confirm Shipping (Ship Confirmation)
7.    System Interfaces SO Information to AutoInvoice Interface
8.    Import Sales Order Information into AR as AutoInvoice
9.    Create Receipt, Apply on Transaction

Oracle Fusion Functional Setup Manager (FSM)

2.    Introduction to Functional Setup Manager (FSM)
3.    Understanding Application Implementation Process through FSM
4.    Understanding Offerings
5.    Understanding Options
6.    Enabling Offerings
7.    Implementation Project Creation
8.    Task Assignments to Team Members
9.    Status Tracking
10.    Understating Task Lists/Tasks
11.    Overview on Offerings Documentation
12.    Overview on Rapid Implementation Process

Happy Learning!!

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