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Client X Project X BR.100 Application Setup FIN General Ledger Global
Client X Project X BR.100 Application Setup FIN General Ledger Global
Change Record:
Reviewers:
Distribution:
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Table of Contents
Document Control...............................................................................................................1
General Configuration Instructions.........................................................................................3
GL: Define Flexfield Value Sets.............................................................................................4
GL: Define Accounting Key Flexfield Segments.......................................................................7
GL: Define Accounting Segment Values...............................................................................16
GL: Define Currencies.......................................................................................................17
GL: Define Calendar Types.................................................................................................18
GL: Define Accounting Calendar..........................................................................................19
HR: Define Operating Units or GL: Accounting Setup Manager..................................................21
GL: Define Legal Entities....................................................................................................33
GL: Define Ledgers............................................................................................................36
GL: Chart of Accounts Mapping............................................................................................51
GL: Define Security Rules..................................................................................................52
GL: Assign Security Rules..................................................................................................54
GL: Define Accounting Cross Validation Rules.......................................................................56
GL: Define Journal Entry Sources........................................................................................58
GL: Define Journal Entry Categories....................................................................................59
GL: Define Journal Reversal Criteria....................................................................................60
The document below is referenced throughout the document, please use the copy provided
as you work through this document.
GL: Define Flexfield Value Sets
General Ledger>Setup>Financials>Flexfields>Validation>Sets
Form
Name
Value Sets
<Customer Short Name> Process: Business Area: Date:
<Value Sets>
Value Set Name Description List Type Security Type
Format Validation
Format Type Numbers Uppercase Right-justify and Zero-fill Maximum Precision Min Value Max Value Validation
Only Only Numbers Size Type
Char 3 Independent
<Value Sets>
Value Set Name Description List Type Security Type
Depatr
Client X_GL_DEPARTMENT Department Segment List of Values Non-Hierarchical Security
Format Validation
Format Type Numbers Uppercase Right-justify and Zero-fill Maximum Precision Min Value Max Value Validation
Only Only Numbers Size Type
Char 2 Independent
<Value Sets>
Value Set Name Description List Type Security Type
Format Validation
Format Type Numbers Uppercase Right-justify and Zero-fill Maximum Precision Min Value Max Value Validation
Only Only Numbers Size Type
Char 6 Independent
<Value Sets>
Value Set Name Description List Type Security Type
Format Validation
Format Type Numbers Uppercase Right-justify and Zero-fill Maximum Precision Min Value Max Value Validation
Only Only Numbers Size Type
Char 4 Independent
<Value Sets>
Value Set Name Description List Type Security Type
Format Validation
Format Type Numbers Uppercase Right-justify and Zero-fill Maximum Precision Min Value Max Value Validation
Only Only Numbers Size Type
Char 5 Independent
<Value Sets>
Value Set Name Description List Type Security Type
Format Validation
Format Type Numbers Uppercase Right-justify and Zero-fill Maximum Precision Min Value Max Value Validation
Only Only Numbers Size Type
Char 3 Independent
GL: Define Accounting Key Flexfield Segments
General Ledger>Setup>Financials>Flexfields>Key>Segments
Form
Name
Key Flexfield Segments
<Customer Short Name> Process: Business Area: Date:
Freeze Flexfield Enable Segment Separator Cross-Validate Freeze Rollup Groups Allow Dynamic Inserts
Definition d Segments
1 Company Company SEGMENT1 Client X_GL_COMPANY Yes Yes Balancing Balancing Yes
Segment Segment
2 Department Department SEGMENT2 Client X_GL_DEPARTMENT Yes Yes Management Management Yes
Segment Segment
3 Account Account SEGMENT3 Client X_GL_ACCOUNT Yes Yes Natural Natural Yes
Account Account
Segment Segment
4 Profit Profit Center SEGMENT4 Client Yes Yes Cost Center Cost Center Yes
Center X_GL_PROFIT_CENTER Segment, Segment,
Secondary Secondary
Tracking Tracking
Segment Segment
5 Future Future SEGMENT5 Client X_GL_FUTURE Yes Yes N/A N/A No
Flexfield Qualifiers
`
Attention: The Qualifiers field has been added to the previous table
3 50 25 Company Company
Open - Department (for each segment)
<Segments>
Name Description Column Number Enabled Displayed Indexed
2 50 25 Department Department
6 50 25 Account Account
Validation
Value Set Description Default Type Default Value Required Security Range
Enabled
5 50 25 Future Future
NOTE: In order to make the company default when entering account combinations, inquiring no accounts, etc follow these steps.
1. Create a profile option: Client X: GL Company Default (Application Developer > Profile > New Profile)
Name Application User Profile Name Description Hierarchy Type Access Level - Access Level -
Visible Updateable
3. Create a profile option: GL: Require AutoReverse Approval (Application Developer > Profile > New Profile)
Name Application User Profile Name Description Hierarchy Type Access Level - Access Level -
Visible Updateable
GL_APPROVE_AUTOR General Ledger GL: Require AutoReverse Security Site, Application, Responsibility,
EVERSE Approval Responsibility, User
User
4. Input the following SQL Validation for the Profile Option’s List of Values
SQL="SELECT meaning \"Meaning\", lookup_code
INTO :visible_option_value, :profile_option_value
FROM fnd_lookups
WHERE lookup_type ='YES_NO'"
COLUMN="\"Meaning\"(15)"
Freeze Flexfield Enable Segment Separator Cross-Validate Freeze Rollup Groups Allow Dynamic Inserts
Definition d Segments
Segments
<Segments Summary - Client X_ACCOUNTING_FLEXFIELD>
Numbe Name Window Column Value Set Displaye Enable Qualifier Qualifier Qualifier
r Prompt d d Name Description Enabled
1 Legal Entity Legal Entity SEGMENT1 Client X_GL_LEGAL_ENTITY Yes Yes Balancing Balancing Yes
Segment Segment
2 Account Account SEGMENT2 Client X_GL_ACCOUNT Yes Yes Natural Natural Yes
Account Account
Segment Segment
3 Profit Profit Center SEGMENT3 Client Yes Yes Cost Center Cost Center Yes
Center X_GL_PROFIT_CENTER Segment;, Segment,
Secondary Secondary
Tracking Tracking
Segment Segment
4 Future Future SEGMENT4 Client X_GL_FUTURE Yes Yes N/A N/A No
6 50 25 Account Account
5 50 25 Future Future
GL: Define Accounting Segment Values
General Ledger>Setup>Financials>Flexfields>Key>Values
Form
Name
Segment Values
<Customer Short Name> Process: Business Area: Date:
The following two spreadsheets reference the values for all segments of the Client X Primary Account Flexfield. Please follow the
PI_FIN_GL_Setup.xls for configuration of those two items.
PI_FIN_GL_Setup.xls
See the following tabs:
1. Company
2. Department
3. Natural Account
4. Profit Centers
5. Legal Entities
6. Account Hierarchy
7. Profit Center Hierarchy
GL: Define Currencies
General Ledger>Setup>Currencies>Define
Form
Name
Currencies
<Customer Short Name> Process: Business Area: Date:
General Ledger>Setup>Financials>Calendars>Types
Form
Name
Period Types
<Customer Short Name> Process: Business Area: Date:
<Process Name> <Business Area> <Date>
Control Number: Priority(H, M, L): Process Owner:
<Control Number> <Priority (H, M, L)> <Process Owner>
Description: Use this form to define the period types for your accounting calendars.
General Ledger>Setup>Financials>Calendars>Accounting
Form
Name
Accounting Calendar
<Customer Short Name> Process: Business Area: Date:
<Process Name> <Business Area> <Date>
Control Number: Priority(H, M, L): Process Owner:
<Control Number> <Priority (H, M, L)> <Process Owner>
Enable Security
<Periods> 01-JAN-2001 to 31-DEC-2009 (table only represents a small subset to given an idea of the
setup.
Prefix Type Year Quarte Numbe From To Name Adjusting
r r
Once you are finished entering the period or periods you desire, the “validate calendars program” should be run using the concurrent
manager to verify that all the calendar data was properly input.
HR: Define Operating Units or GL: Accounting Setup Manager
Dates
From To
01-JAN-1951
Location Corporate
Internal or External Internal
Location Address 2925 Briarpark Rd, Ste 1050 Location A, TX 77042
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context Client X & Subsidiary
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Location E Operating Unit
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External Internal
Location Address 33469 West 14 Mile Road, Farminton Hills, MI 48331
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context Superior Materials, LLC
Operating Unit Short Code
Dates
From To
01-JAN-1951
Location
Internal or External Internal
Location Address 755 Stockton Ave., San Jose, CA 95126
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context Central Concrete Supply Co., Inc..
Operating Unit Short Code
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Redi-Mix
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Oklahoma
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Ingram
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Client XPG San Diego
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Client XPG Phoenix
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
Client XPG Central PC
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
Human Resources>Work Structures>Organization>Description or (General Ledger >
Setup > Accounting Setup > Financials > Accounting Setup Manager > Ledger: Client X
Primary > Operating Units
API
Name Type
Dates
From To
01-JAN-1951
Location
Internal or External
Location Address
Internal Address
Organization Classifications
Name Enabled
Others
<Operating Unit Information>
Primary Ledger Client X Primary
Default Legal Context
Operating Unit Short Code
GL: Define Legal Entities
Legal Address
Location Corporate Headquarters
Country Country X
Address1 2925 Briarpark Rd.
Address2 Suite. 1050
Address3
City Location A
State TX
Country Country X
Postal Code 77042
General Information
Place of Registration Delaware
Inception Date
NAICS 1997
Type of Company Corporation
Update
Transaction Tax Profile
Set for Self
Assessment / Reverse
Charge
Tax Classification
tab
Registrations
Create Registration
General Information
Registered Addresses
Registered Address 2925 Briarpark, Suite 1050, Location A, TX, 77042, Country X
Legal Functions
Function Name Legal Authority Legal Authority
Name Address
For the setup of the remaining legal entities, review the spreadsheet:
Assign Legal Entities (All Legal Entities will be assigned) – See PI_FIN_GL_Setup.xls (Legal Entities Tab) the legal
entities that should be assigned.
<Ledger Options>
<Primary Ledger>
Standard Information
Ledger Client X Primary
Short Name Client X Primary
Description Client X Primary Ledger
Currency USD
Chart of Accounts Client X Primary
Accounting Calendar
Accounting Calendar Client X CAL
Period Type 13 Month
First Ever Open Period JAN-01
Number of Future Enterable 2
Periods
Subledger Accounting
Subledger Accounting Method Standard Accrual
Subledger Accounting Method Oracle
Owner
Journal Entry Language American English
Entered Currency Balancing
Account
Use Cash Basis Accounting Disabled
Balance Subledger Entries by Disabled
Ledger Currency
Journal Processing
Suspense Account
Rounding Differences Tracking
Account
Enable Intra Company Balancing Enabled
Enable Journal Approval Enabled
Enable Journal Entry tax Disabled
Journal Reversal Criteria Set
Journal Reconciliation
Enable Journal Disabled
Reconciliation
Budgetary Control
Enable Budgetary Disabled
Control
Require Budget Journals Disabled
Reserve for
Encumbrance Account
<Balancing Segment Value Assignments> (NONE – BSV should not be assigned to any legal entities)
Balancing Segment Description Start Date End Date
Value
<Sub Ledger Accounting Options>
Application: AP, AR, Projects, Purchasing, FA, Inventory
Accounting Options
GL JE Entry Summarization Summarized by GL Period
Reversal Method Switch Dr/Cr
Rounding Rule Closest
Third Party Merge Accounting None
Option
<Operating Units>
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Client X & Subsidiaries
Add Operating Units
Name Location E
Short Code
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Kurtz Gravel Company
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Central Concrete Supply Co., Inc.
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Eastern Concrete Materials, Inc.
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Superior concrete Materials, Inc.
Add Operating Units
Name Redi-Mix
Short Code
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Redi-Mix, LLC
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Atlas-Tuck Concrete, Inc.
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Ingram Concrete, LLC
Assignments
Business Group Client X & Subsidiaries
Default Legal Context San Diego Precast Concrete, Inc.
Add Operating Units
Name Client XPG Phoenix
Short Code
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Smith Pre-cast, Inc.
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Central Precast Concrete, Inc.
Assignments
Business Group Client X & Subsidiaries
Default Legal Context Eastern Concrete Materials, Inc.
<Intercompany Accounts>
**Intercompany accounting is not being enabled.
Intercompany Accounts
Transaction Account Definition
Legal Entities
Define Relationships: <LE Name>
Define Accounts
Intercompany Receivables Accounts
Additional Information Context
Account Account Description Start Date End Date Use for Balancing
Yes
Account Account Description Start Date End Date Use for Balancing
Yes
Define Rules>
Create Rule>
Source and Category
Ledger Client X Primary Legal Entity Client X
Chart of Accounts ACCOUNTING_FLEXFIELD Source Other
Currency USD Category Other
Status Enabled
Additional Information
Context
Intracompany setups are defined between companies that will interact on a regular basis (i.e. interaction between companies within the same
region). Please see the Intracompany Setup tab in:
PI_COA_SegmentValues.xls
Legal Entity No Legal Entity
Source Other
Category Other
Enabled Yes
001-00-272100-0000- 001-00-272100-0000-00000
All Other All Other
0000
Create
Sequencing Context
Name
Processing Options
Require Assignment
Validate Sequence By
Assign Sequence By
Assign Sequences
Type Priority Sequence Name Start End Date Balance Journal Source Journal Category
Date Type
Profile options
Profile Site
<Ledger Options>
<Primary Ledger>
Standard Information
Ledger Client X Secondary
Short Name Client X Secondary
Description Client X Secondary (Tax) Ledger
Currency USD
Chart of Accounts Client X Secondary
Accounting Calendar
Accounting Calendar Client X CAL
Period Type Client X Calendar
First Ever Open Period Jan-07
Number of Future Enterable 2
Periods
Subledger Accounting
Subledger Accounting Method Standard Accrual
Subledger Accounting Method Oracle
Owner
Journal Entry Language American English
Entered Currency Balancing
Account
Use Cash Basis Accounting Disabled
Balance Subledger Entries by Disabled
Ledger Currency
Journal Processing
Suspense Account
Rounding Differences Tracking
Account
Enable Intra Company Balancing Enabled
Enable Journal Approval Enabled
Enable Journal Entry tax Disabled
Journal Reversal Criteria Set
Journal Reconciliation
Enable Journal Disabled
Reconciliation
Budgetary Control
Enable Budgetary Disabled
Control
Require Budget Journals Disabled
Reserve for
Encumbrance Account
<Sequencing> NONE
Ledger Name Client X Primary
Sequence Event – Sequence Entity GL Journal Entry – GL Period Close
Create
Sequencing Context
Name
Processing Options
Require Assignment
Validate Sequence By
Assign Sequence By
Assign Sequences
Type Priority Sequence Name Start End Date Balance Journal Source Journal Category
Date Type
<Primary to Secondary Ledger Mapping>
Other Other No
Move/Merge Other No
Move/Merge Reversal Other No
Revaluation Other No
**Currently due to the fact that the mapping from Primary to Secondary Ledger is not functioning we will not be
transferring journals until this issues is resolved. We will not currently be using this functionality as it has been a
continuing issue we are working with Oracle to resolve.
GL: Chart of Accounts Mapping
Client X_PRIMARY_SECONDARY Mapping for Profit Center of Primary Client X Primary Client X Secondary
Ledger to Secondary Ledger Legal
Entity
Segment Rules
Value Set
Name Dependent Value Set Independent Value
Client X_GL_COMPANY
Key Flexfield
Title Structure Independent Segment Dependent Segment Independent Value Value Description
Descriptive Flexfield
Title Context Independent Segment Dependent Segment Independent Value Value Description
Concurrent Program
Name Description Independent Dependent Parameter Independent Value Description
Parameter
Security Rules
Security Rules: Name Security Rules: Security Rules:
Description Message
Value Set
Name Dependent Value Set Independent Value
Client X_GL_COMPANY
Key Flexfield
Title Structure Independent Segment Dependent Segment Independent Value Value Description
Descriptive Flexfield
Title Context Independent Segment Dependent Segment Independent Value Value Description
Concurrent Program
Name Description Independent Dependent Parameter Independent Value Value Description
Parameter
Security Rules
Application Responsibility Name
Description
Message Y
GL: Define Accounting Cross Validation Rules
***Note: Cross Validation Rule design is currently underway; this document will be updated once it is complete. Here are the rules captured
thus far.
1. PROFIT CENTER RULES – a Profit Center from a specified company cannot be paired with a different company (i.e. a profit center from
Location E cannot be paired with a Location C Company)
2. Balance Sheet accounts should only be used with the department 00 – Unallocated.
General Ledger Accounting Flexfield Client X Primary Client X Primary Accounting Flexfield
General Ledger>Setup>Journal>Sources
Form
Name
Journal Sources
<Customer Short Name> Process: Business Area: Date:
General Ledger>Setup>Journal>Categories
Form
Name
Journal Categories
<Customer Short Name> Process: Business Area: Date:
General Ledger>Setup>Journal>AutoReverse
Form
Name
Journal Reversal Criteria Set
<Customer Short Name> Process: Business Area: Date:
Assign Access
<Assign Access>
Definition Access Set Use View Modify
<Update>
General Ledger>Setup>Journal>AutoPost
Form
Name
AutoPost Criteria Set
<Customer Short Name> Process: Business Area: Date:
Assign Access
Assign Access
Definition Access Set Use View Modify
Yes
Journal Effective Dates
From ___ days before current date To ___ days after current date
500 500
Schedule
<Submit Request>
Name SSubledger Journal Batches
Operating Unit A
Parameters
Language
Schedule
Once
Weekly – Sunday at 3:00 a.m.
Periodically
On Specific Days
Advanced
Options
Save All Output
to Files
Layout
Template Name Template Language Format For Language
500 500
<Interface Journal Criteria Set>
Schedule
<Submit Request>
Interface Journal Posting
Name
Operating Unit A
Parameters
Language
Schedule
Will be adhoc once period is closed in Great Plains.
Once
Periodically
On Specific Days
Advanced
Options
Save All Output
to Files
Layout
Template Name Template Language Format For Language
Schedule
<Submit Request>
Approved Journals
Name
Operating Unit A
Parameters
Language
Schedule
Will be set to run on nightly basis, ad hoc capability is available.
Once
Periodically
On Specific Days
Advanced
Options
Save All Output
to Files
Layout
Template Name Template Language Format For Language
General Ledger>Setup>Employees>Limits
Form
Name
Journal Authorization Limits
<Customer Short Name> Process: Business Area: Date:
In place of the journal authorization limits a customized journal approval workflow has been developed. The main features of this journal
include that every manual journal must be approved prior to it being posted. The individual who created the journal cannot be approved by
the person who also created it. In addition to that restriction, if a journal is applicable to more then one company the journal will require
approval from both companies (can only be two) before the journal is actually approved.
GL: Define Data Access Sets
***Note: The Data Access Sets detailed in this section represent the CRP Access Sets and are subject to change upon completion of the Roles
and Responsibilities design.
Data Access Sets are only applicable to General Ledger responsibilities – subledger modules are not affected by these data access sets.
Location C Company Only Location C Company Values Client X Primary Client X CAL Balancing Client X Primary 13 Month
Only Segment Value
Location C Transactional Location C Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Corporate Company Only Corporate Company Values Client X Primary Client X CAL Balancing Client X Primary 13 Month
Only Segment Value
Corporate Transactional Corporate Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Location E Company Only Location E Company Values Client X Primary Client X CAL Balancing Client X Primary 13 Month
Only Segment Value
Location E Transactional Location E Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Eastern Company Only Eastern Company Values Only Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Eastern Transactional Eastern Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Superior DC Company Only Superior DC Company Values Client X Primary Client X CAL Balancing Client X Primary 13 Month
Only Segment Value
Superior DC Transactional Superior DC Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Redi-Mix Company Ony Redi-Mix Company Values Client X Primary Client X CAL Balancing Client X Primary 13 Month
Ony Segment Value
Redi-Mix Transactional Redi-Mix Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Oklahoma Company Only Oklahoma Company Values Client X Primary Client X CAL Balancing Client X Primary 13 Month
Only Segment Value
Data Access Set Description Chart of Accounts Calendar Access Set Default Ledger Period Type
Type
Oklahoma Transactional Oklahoma Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Ingram Company Only Ingram Company Values Only Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Ingram Transactional Ingram Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Client XPG San Diego Client XPG San Diego Client X Primary Client X CAL Balancing Client X Primary 13 Month
Company Only Company Values Only Segment Value
Client XPC San Diego Client XPC San Diego Client X Primary Client X CAL Balancing Client X Primary 13 Month
Transactional Transactional Segment Value
Client XPG Phoenix Client XPG Phoenix Company Client X Primary Client X CAL Balancing Client X Primary 13 Month
Company Only Only Segment Value
Client XPG Phoenix Client XPG Phoenix Client X Primary Client X CAL Balancing Client X Primary 13 Month
Transactional Transactional Segment Value
Client XPG Central PC Client XPG Central PC Client X Primary Client X CAL Balancing Client X Primary 13 Month
Company Only Company Only Segment Value
Client XPG Central PC Client XPG Central PC Client X Primary Client X CAL Balancing Client X Primary 13 Month
Transactional Transactional Segment Value
API Company Only API Company Values Only Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
API Transactional API Transactional Client X Primary Client X CAL Balancing Client X Primary 13 Month
Segment Value
Access Details
Ledger/Ledger Set Values – All Values – Specific Privilege
Description: Use this form to assign security access for data access set definitions. With this form you can grant access to definitions for a
subset of users and deny access to other users. Super User Definition Access Sets cannot be updated or deleted.
Create
Name
Description
Definition Assignments
Type Name Privileges – Privileges – Privileges -
Use View Modify
Responsibility Assignments
Responsibility Application Security Group Automatic Automatic Automatic
Privileges – Privileges – Privileges -
Use View Modify
Responsibility Application Security Group Automatic Automatic Automatic
Privileges – Privileges – Privileges -
Use View Modify
GL: Define Intercompany/Interfund Accounts
***Note: Client X will not utilize Intercompany/Interfund Accounting setups. They are not assigning any balancing segments to Legal Entities
thus there is no need to define intercompany rules.
General Ledger>Setup>Accounts>Inter-Company
Form
Name
Intercompany Accounts
<Customer Short Name> Process: Business Area: Date:
Company Due From Account Due To Account Account Descriptions: Due Account Descriptions: Due
From To
tab
Clearing Company Usage
Clearing Company Usage
tab
Default Options
Action if No Clearing Company is
Specified
GL: Define Statistical Units of Measure
***NOTE: Statistical accounts will be utilized but the final accounts and statistics needed are still in design. We have finalized the STAT
accounts and measures. Only those accounts that begin with 99XXXX will be STAT accounts, also the contra-STAT accounts that were present
in Great Plains will not be utilized in Oracle because STAT accounts can be unbalances.
General Ledger>Setup>Accounts>Units
Form
Name
Statistical Units of Measure
<Customer Short Name> Process: Business Area: Date:
Use this region to define Statistical Units of Measure and assign them to your account segment values.
Account Unit of Measure Description
**It has been determined that only 4 years of budgets will be converted, this is 4 less than the original eight that were planned.
Ranges
1. MO: Security Profile – Updateable and Viewable at General Ledger Application Level.
2. Sequential Number – Site Level = Partially Used; Application: General Ledger = Not Used
3. Viewer: Text = Browser
4. GL: Data Access Set (will be Company/Operating Unit Specific by Responsibility); Site = Client X Primary
a. Client X GL JOURNAL APPROVE CORP = Corporate Company Only
b. Client X GL JOURNAL APPROVE MICH = Location E Company Only
c. Client X GL (Responsibility Name) CORP = Corporate Transactional
d. Client X GL (Responsibility Name) MICH = Location E Transactional
5. GL Ledger Name: Client X Primary (Site)
6. Journals: Allow Preparer Approval (Site = No)
7. Journals: Mix Statistical and Monetary (Site = No)
Open and Closed Issues for this Deliverable
Open Issues
Closed Issues