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Explaining Enterprise Structures and Organizations for Project Financials Ma

Practice 1-1: Navigating in Oracle Project Portfolio Management Applications


Practice 6-1: Creating a Legal Entity
Practice 6-2: Creating a Business Unit
Practice 6-3: Creating a Project Unit
Practice 6-4: Creating an Organization
Practice 6-5: Classifying an Organization to Own Projects and Tasks or Incur Costs on a Projec
Demonstration 6-6: Selecting the Organization Hierarchy Type and Classifications
Demonstration 6-7: Assign Project Organization to the Organization Hierarchies
Practice 6-8: Selecting Organization Hierarchies for the Business Unit
Practice 6-9: Verifying the Project Organization Configuration

Explaining Functional Setup Manager and Cloud Security


Demonstration 2-1: Configure Offerings
Practice 2-2: Creating an Implementation Project
Demonstration 4-1: Creating an Implementation Administrator
Demonstration 4-2: Creating a Functional User
Practice 4-3: Copy a Role
Practice 4-4: Comparing a Role
Practice 4-5: Creating an Employee
Practice 4-6: Editing Your User
Practice 4-7: Managing Your User
Practice 4-8: Managing Password Settings and Notifications

Explaining Subledger Accounting for Project Financial Management


Define Subledger Accounting Rules for Project Financial Management

Defining Project Foundation and Project Templates


Practice 7-1: Creating a Project
Practice 7-2: Creating an Expenditure Type
Practice 7-3: Creating a Class Category and Codes
Practice 7-4: Creating a Nonlabor Resource
Practice 7-5: Creating a Nonlabor Rate Schedule
Practice 7-6: Assigning a Job to an Employee
Practice 7-7: Assigning Rate Schedules to a Labor Resource
Practice 7-8: Creating a Planning Resource Breakdown Structure
Practice 7-9: Creating a Burden Cost Code
Practice 7-10: Creating a Burden Structure
Practice 7-11: Creating a Burden Schedule
Practice 7-12: Creating a Project Type
Define Project Templates
Practice 12-1: Creating a Project Template

Configuring Project Controls, Project Costing and Project Billing


Demonstration 8-1: Reviewing an Existing Financial Plan Type
Practice 8-2: Creating a Financial Plan Type
Practice 8-3: Creating a Project Plan Type
Practice 8-4: Creating a File-Based Data Import for Project Budgets
Define Project Costing Configuration
Define Borrowed and Lent Accounting
Practice 9-1: Creating Transaction Source, Document, and Document Entry
Demonstration 9-2: Defining a Flexfield Segment Value Set
Demonstration 9-3: Defining a Cost Collection Flexfield Segment
Demonstration 9-4: Creating Standard Unit Costs
Practice 9-5: Creating a Capitalized Interest Rate
Practice 9-6: Creating a Capitalized Interest Rate Schedule
Practice 9-7: Creating a User Group to Enable Project Team Members to Enter Time for Projects
Practice 9-8: Updating a User Group to Enable Project Team Members to Enter Time for Projects
Practice 9-9: Creating a Time Entry Profile
Practice 9-10: Creating a Time Processing Profile
Define Project Billing Configuration
Creating Revenue and Invoice Methods
Practice 10-1: Creating Event Types
Practice 10-2: Creating Revenue Methods
Practice 10-3: Creating Invoice Methods
Practice 10-4: Creating Invoice Formats
Demonstration 10-5-1: Adding a provider resource
Demonstration 10-5-2: Creating a Project and Intercompany Contract in the Receiver Business Unit
Demonstration 10-5-3: Creating an Intercompany Contract in the Provider Business Unit
Demonstration 10-5-4: Entering Costs, Generating Revenue, and Billing the Receiver Business Unit
Demonstration 10-5-5: Importing invoices, Generating Revenue, and Billing the Customer

Configuring Project Analytics


Demonstration 11-1: Setting Up Summarization Options
Demonstration 11-2: Setting Up Performance Reporting Options
Demonstration 11-3: Setting Up Analytic Reporting Options
Practice 11-4: Creating a Key Performance Indicator

Using Rapid Implementation for Project Financials Management and Manag


Practice 3-1: Entering Data in the Rapid Implementation Spreadsheet
Define Approvals and Workflows
Demonstration 13-1: Manage Task Configurations

Using Project Financial Management


Practice 14-1: Create a Project
Practice 14-2: Create a Project Budget
Practice 14-3: Manage Project Costs
Practice 14-4: Review Capital Assets
Practice 14-5: Manage Contracts
Demonstration 14-6: Monitor Project Performance
oject Financials Management

nagement
ement and Managing Approvals

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