1. What is TCA? Tables?
A) Trading Community
Architecture. It is a centralized repository of business entities such as
Partners, Customers, and Organizations etc. It is a new framework developed in
Oracle 11i.
HZ_PARTIES: The HZ_PARTIES
table stores basic information about parties that can be shared with any
relationship that the party might establish with another party. Although a
record in the HZ_PARTIES table represents a unique party, multiple parties can
have the same name. The parties can be one of four types:
Organization for example, Oracle Corporation
Person for example, Jane Doe
Group for example, World Wide Web Consortium
Relationship for example, Jane Doe at Oracle Corporation.
Person for example, Jane Doe
Group for example, World Wide Web Consortium
Relationship for example, Jane Doe at Oracle Corporation.
HZ_LOCATIONS: The
HZ_LOCATIONS table stores information about a delivery or postal address such
as building number, street address, postal code, and directions to a location.
This table provides physical location information about parties (organizations
and people) and customer accounts.
HZ_PARTY_SITES: The
HZ_PARTY_SITES table links a party (see HZ_PARTIES) and a location (see
HZ_LOCATIONS) and stores location-specific party information. One party can
optionally have one or more party sites. One location can optionally be used by
one or more parties. This party site can then be used for multiple customer
accounts within the same party.
HZ_CUST_ACCT_SITES_ALL
HZ_CUST_SITE_USES_ALL
HZ_CUST_CONTACT_POINTS etc.
2. What are Base Tables or Interface Tables for Customer
Conversions, Autolockbox, Auto Invoice?
A) Customer Conversion:
Interface
Tables :
RA_CUSTOMERS_INTERFACE_ALL, RA_CUSTOMER_PROFILES_INT_ALL,
RA_CONTACT_PHONES_INT_ALL,
RA_CUSTOMER_BANKS_INT_ALL,
RA_CUST_PAY_METHOD_INT_ALL
Base Tables : RA_CUSTOMERS, RA_ADDRESSES,
RA_SITE_USES_ALL,
RA_CUSTOMER_PROFILES_ALL,
RA_PHONES etc
B) Auto Invoice:
Interface Tables : RA_INTERFACE_LINES_ALL,
RA_INTERFACE_DISTRIBUTIONS_ALL
RA_INTERFACE_SALESCREDITS_ALL,
RA_INTERFACE_ERRORS_ALL
Base Tables : RA_CUSTOMER_TRX_ALL,
RA_CUSTOMER_TRX_LINES_ALL,
RA_CUST_TRX_LINE_GL_DIST_ALL,
RA_CUST_TRX_LINE_SALESREPS_ALL, RA_CUST_TRX_TYPES_ALL
C) AutoLockBox:
Interface Tables : AR_PAYMENTS_INTERFACE_ALL (POPULATED
BY IMPORT PROCESS)
Interim tables :
AR_INTERIM_CASH_RECEIPTS_ALL (All Populated by Submit Validation)
: AR_INTERIM_CASH_RCPT_LINES_ALL,
AR_INTERIM_POSTING
Base Tables : AR_CASH_RECEIPTS_ALL,
AR_RECEIVABLE_APPLICATIONS_ALL,
AR_PAYMENT_SCHEDULES_ALL ( All
Populated by post quick cash)
3. What are the tables in which Invoices/transactions
information is stored?
A) RA_CUSTOMER_TRX_ALL, The
RA_CUSTOMER_TRX_ALL table stores invoice, debit memo, commitment, bills receivable,
and credit memo header information. Each row in this table includes general
invoice information such as customer, transaction type, and printing
instructions.
RA_CUSTOMER_TRX_LINES_ALL,
The RA_CUSTOMER_TRX_LINES_ALL table stores information about invoice, debit
memo, credit memo, bills receivable, and commitment lines (LINE, FREIGHT and
TAX).
RA_CUST_TRX_LINE_SALESREPS_ALL,
The RA_CUST_TRX_LINE_SALESREPS_ALL table stores sales credit assignments for
invoice lines. If Receivables bases your invoice distributions on sales
credits, a mapping exists between the sales credit assignments in this table
with the RA_CUST_TRX_LINE_GL_DIST_ALL table.
The
RA_CUST_TRX_LINE_GL_DIST_ALL table stores the accounting records for revenue,
unearned revenue, and unbilled receivables for each invoice or credit memo
line. Oracle Receivables creates one row for each accounting distribution, and
at least one accounting distribution must exist for each invoice or credit memo
line. Each row in this table includes the General Ledger account and the amount
of the accounting entry.
The
RA_CUST_TRX_LINE_SALESREPS_ALL table stores sales credit assignments for
invoice lines. If Receivables bases your invoice distributions on sales
credits, a mapping exists between the sales credit assignments in this table
with the RA_CUST_TRX_LINE_GL_DIST_ALL table.
4. What are the tables In which Receipt information is stored?
A)
AR_PAYMENT_SCHEDULES_ALL, The
AR_PAYMENT_SCHEDULES_ALL table stores all transactions except adjustments and
miscellaneous cash receipts. Oracle Receivables updates this table when
activity occurs against an invoice, debit memo, chargeback, credit memo,
on-account credit, or receipt.
Transaction classes
determine if a transaction relates to either the RA_CUSTOMER_TRX_ALL table or
the AR_CASH_RECEIPTS_ALL table. Using the CUSTOMER_TRX_ID foreign key column,
the AR_PAYMENT_SCHEDULES_ALL table joins to the RA_CUSTOMER_TRX_ALL table for
non-payment transaction entries, such as the creation of credit memos, debit
memos, invoices, chargebacks, or deposits. Using the CASH_RECEIPT_ID foreign
key column, the AR_PAYMENT_SCHEDULES_ALL table joins to the
AR_CASH_RECEIPTS_ALL table for invoice-related payment transactions.
AR_CASH_RECEIPTS_ALL, The
AR_CASH_RECEIPTS_ALL table stores one record for each receipt that you enter.
Oracle Receivables concurrently creates records in the
AR_CASH_RECEIPT_HISTORY_ALL, AR_PAYMENT_SCHEDULES_ALL, and
AR_RECEIVABLE_APPLICATIONS_ALL tables for invoice-related receipts. For
receipts that are not related to invoices, such as miscellaneous receipts,
Receivables creates records in the AR_MISC_CASH_DISTRIBUTIONS_ALL table instead
of the AR_RECEIVABLE_APPLICATIONS_ALL table.
AR_RECEIVABLE_APPLICATIONS_ALL,
The AR_CASH_RECEIPTS_ALL table stores one record for each receipt that you
enter. Oracle Receivables concurrently creates records in the
AR_CASH_RECEIPT_HISTORY_ALL, AR_PAYMENT_SCHEDULES_ALL, and
AR_RECEIVABLE_APPLICATIONS_ALL tables for invoice-related receipts. For
receipts that are not related to invoices, such as miscellaneous receipts,
Receivables creates records in the AR_MISC_CASH_DISTRIBUTIONS_ALL table instead
of the AR_RECEIVABLE_APPLICATIONS_ALL table. Cash receipts proceed through the
confirmation, remittance, and clearance steps. Each step creates rows in the
AR_CASH_RECEIPT_HISTORY table.
5. What are the tables in which Accounts information is stored?
RA_CUST_TRX_LINE_GL_DIST_ALL
6. What are the different statuses for Receipts?
A) Unidentified – Lack of Customer Information
Unapplied – Lack of Transaction/Invoice
specific information (Ex- Invoice Number)
Applied – When all the required
information is provided.
On-Account, Non-Sufficient Funds, Stop
Payment, and Reversed receipt.
7. What Customization that you have done for Autolockbox?
8. What is Autolockbox?
A) Auto lockbox is a
service that commercial banks offer corporate customers to enable them to out
source their account receivable payment processing. Auto lockbox can also be
used to transfer receivables from previous accounting systems into current
receivables. It eliminates manual data entry by automatically processing
receipts that are sent directly to banks. It involves three steps
- Import (Formats data from bank file and populates the Interface Table),
- Validation(Validates the data and then Populates data into Interim Tables),
- Post Quick Cash(Applies Receipts and updates Balances in BaseTables).
9. What is Transmission Format?
A) Transmission Format
specifies how data in the lockbox bank file should be organized such that it
can be successfully imported into receivables interface tables. Example,
Default, Convert, Cross Currency, Zengen are some of the standard formats
provided by oracle.
10. What is Auto Invoice?
A) Autoinvoice is a tool
used to import and validate transaction data from other financial systems and
create invoices, debit-memos, credit memos, and on account credits in Oracle
receivables. Using Custom Feeder programs transaction data is imported into the
autoinvoice interface tables.
Autoinvoice interface
program then selects data from interface tables and creates transactions in receivables
(Populates receivable base tables) . Transactions with invalid information are
rejected by receivables and are stored in RA_INTERFACE_ERRORS_ALL interface
table.
11. What are the Mandatory Interface Tables in Auto
Invoice?
RA_INTERFACE_LINES_ALL,
RA_INTERFACE_DISTRIBUTIONS_ALL
RA_INTERFACE_SALESCREDITS_ALL.
12. What are the Set up required for Custom Conversion,
Autolockbox and Auto Invoice?
A) Autoinvoice program
Needs AutoAccounting to be defined prior to its execution.
13. What is AutoAccounting?
A) By defining
AutoAccounting we specify how the receivables should determine the general
ledger accounts for transactions manually entered or imported using Autoinvoice.
Receivables automatically creates default accounts(Accounting Flex field
values) for revenue, tax, freight, financial charge, unbilled receivable, and
unearned revenue accounts using the AutoAccounting information.
14. What are Autocash rules?
A) Autocash rules are used
to determine how to apply the receipts to the customers outstanding debit
items. Autocash Rule Sets are used to determine the sequence of Autocash rules
that Post Quickcash uses to update the customers account balances.
15. What are Grouping Rules?
(Used by Autoinvoice)
A) Grouping rules specify
the attributes that must be identical for lines to appear on the same transaction.
After the grouping rules are defined autoinvoice uses them to group revenues
and credit transactions into invoices debit memos, and credit memos.
16. What are Line Ordering
Rules? (Used by Autoinvoice)
A) Line ordering rules are
used to order transaction lines when grouping the transactions into invoices,
debit memos and credit memos by autoinvoice program. For instance if transactions
are being imported from oracle order management , and an invoice line ordering
rule for sales_order _line is created then the invoice lists the lines in the
same order of lines in sales order.
17. In which table you can
see the amount due of a customer?
A) AR_PAYMENT_SCHEDULES_ALL
18. How do you tie Credit
Memo to the Invoice?
At table
level, In RA_CUSTOMER_TRX_ALL, If you entered a credit memo, the
PREVIOUS_CUSTOMER_TRX_ID column stores the customer transaction ID of the
invoice that you credited. In the case of on-account credits, which are not
related to any invoice when the credits are created, the
PREVIOUS_CUSTOMER_TRX_ID column is null.
19. What
are the available Key Flex Fields in Oracle Receivables?
A) Sales
Tax Location Flex field, It’s used for sales tax calculations.
Territory
Flex field is used for capturing address information.
20. What are Transaction
types? Types of Transactions in AR?
A) Transaction types are
used to define accounting for different transactions such as Debit Memo, Credit
Memo, On-Account Credits, Charge Backs, Commitments and invoices.
21. What
is AutoAssociating?
22. What
are the issues you faced in AutoInvoice and Autolockbox?
1. How many Address's can have
one Customer?
Primary Address, Bill – To – Address, Ship – To – Address
Primary Address, Bill – To – Address, Ship – To – Address
2. Customer Number Always
Automatic / Manual?
Any thing Either Manual or Automatic
Any thing Either Manual or Automatic
3. What are the Mandatory
Address's you should create a Customer for Communicate him?
Remit – To – Address
Remit – To – Address
4. Can U Merge the Customers?
If How?
Using the Merging Customer Window
Using the Merging Customer Window
5. What is Accounting Rules?
It is For Generating Revenue Recognition Programs like Monthly, Quarterly
It is For Generating Revenue Recognition Programs like Monthly, Quarterly
6. What is Invoicing Rules?
The Invoicing Rules Helps you when you receive data from Outside systems like Auto Invoices how the data should insert and It contains 2 rules Advance Invoice, Arrears Invoice.
The Invoicing Rules Helps you when you receive data from Outside systems like Auto Invoices how the data should insert and It contains 2 rules Advance Invoice, Arrears Invoice.
7. Where should the customers
send the payments of Invoices?
Remittance Banks or Vendor Places
Remittance Banks or Vendor Places
8. What is the Transaction
Type?
It describes us Whether you want transfer the Receivables data into General Ledger or not. And also when ever you create an invoice what are the accounts should be effected and also the sign of Transaction also.
It describes us Whether you want transfer the Receivables data into General Ledger or not. And also when ever you create an invoice what are the accounts should be effected and also the sign of Transaction also.
9. What is a Transaction
Source?
It is For Invoice or Invoice Batch numbers whether automatically or manually
It is For Invoice or Invoice Batch numbers whether automatically or manually
10. How many Transactions we
have?
Six, Credit Transactions: Invoice: Debit Memo: Charge back: Guarantee: Deposit
Six, Credit Transactions: Invoice: Debit Memo: Charge back: Guarantee: Deposit
11. How can i reduce the
Invoice amount?
Using with Credit Transactions
Using with Credit Transactions
12. What are the Accounts to be
use in Transaction Types (Few)?
Revenue, Receivables, Freight, Tax, Clearing, Unearned, Unbilled
Revenue, Receivables, Freight, Tax, Clearing, Unearned, Unbilled
13. How can i Assign a Deposit
amount to an Invoice?
In the Invoice Window "Commitment" Region
In the Invoice Window "Commitment" Region
14. What is the Guarantee?
It is agreement between both sides for goods or services in the future , specific range of periods
It is agreement between both sides for goods or services in the future , specific range of periods
15. Give the Navigation for
Credit Transactions?
Transactions/Credit Transactions
Transactions/Credit Transactions
16. How many ways you can apply
the Receipt Amount?
Application: Mass Apply
Application: Mass Apply
17. How will you know a
Customer Balance Amount?
Using with the Customer Account Overview window
Using with the Customer Account Overview window
18. Can U Define Customer
Agreements using with AR?
No, In the Oracle Order Entry Module
No, In the Oracle Order Entry Module
19. What are Aging Buckets?
It is for Outstanding Reports purpose the no of days in various ranges
It is for Outstanding Reports purpose the no of days in various ranges
20. How will U View the Outstanding
Balance of a Customer?
Generating the Aging Buckets Report
Generating the Aging Buckets Report
What
kind of transactions can be created using AutoInvoice?
|
A: Invoices,
credit memos, debit memos, and on–account credits can be imported using
AutoInvoice.
|
Q: What
are the underlying tables and validations required during AutoInvoice
Interface?
|
A: Interface
tables: RA_INTERFACE_LINES_ALL Base tables: RA_CUSTOMER_TRX_ALL RA_BATCHES
RA_CUSTOMER_TRX_LINES_ALL AR_PAYMENT_SCHEDULES_ALL
RA_CUSTOMER_TRX_LINE_SALESREPS RA_CUST_TRX_GL_DIST_ALL AR_RECEIVABLES_APPLICATIONS
AR_ADJUSTMENTS RA_CUSTOMER_TRX_TYPES_ALL Concurrent Program: Auto invoice
master program Validations: check for amount, batch source name, conversion
rate, conversion type. Validate orig_system_bill_customer_id,
orig_system_bill_address_id, quantity. Validate if the amount includes tax
flag.
|
Q: Explain
the different steps in implementing Autolockbox.
|
A: Import,
Validate, Post Quick Cash
|
Q: What
are the different Invoice matching types?
|
A: 2-way
matching: 2-way matching verifies that Purchase order and invoice quantities
must match within your tolerances 3-way matching: 3-way matching verifies
that the receipt and invoice information match with the quantity tolerances
4-way matching: 4-way matching verifies that acceptance documents and invoice
information match within the quantity tolerances
|
Q: What
are the different Transaction types in AR?
|
A: Invoice,
Credit Memo, Debit Memo,Charge back, commitments
|
Q: Tell
me about TCA?
|
A: TCA
canbe used to import or modify Customers related data.
|
Q: Name
some Flexfields in AR.
|
A: Sales
Tax Location, Territory
|
Q: Explain
the steps involved in Transfer to GL from AR.
|
A: Transfer
the transactions to GL_Interface Import the Journals Post the Journals
|
Q: What
is the db number of a particular cusotmer TCA?
|
A: It
is a unique number used to identify the Customers.
|
Q: Where
can you find the Customer payment terms?
|
A: In
the table hz_customer_profiles
|
Q: What
is the link between OM and AR?
|
A: To
relate the Order Number (ONT) to the Invoice (AR) we use the LINE TRANSACTION
FLEX FIELDS. In RA_CUSTOMER_TRX_ALL, INTERFACE_HEADER_ATTRIBUTE1 to
INTERFACE_HEADER_ATTRIBUTE15 store this Information that uniquely identifies
the Sales Order (HEADER INFO). In RA_CUSTOMER_TRX_LINES_ALL, INTERFACE_LINE_ATTRIBUTE1
to INTERFACE_LINE_ATTRIBUTE15 store this Information that uniquely identifies
the Sales Order.(LINE INFO)
|
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