ORACLE FINANCIALS CLOUD LEARNING SUBSCRIPTION
Enable the full power of your Oracle Financials Cloud applications with an Oracle Financials Cloud Learning Subscription. This all-digital learning solution is ideal for implementers, administrators, and business users seeking in-depth training on Oracle Financials Cloud.
Access comprehensive, high quality training videos delivered by Oracle experts. Practice what you learn with hands-on labs using live cloud environments. This subscription includes one attempt at each Oracle Cloud implementation certification exam included in this subscription, enabling you to become Oracle certified.
Learn how to implement your cloud applications through step-by-step demonstrations, real world examples, and practical applications. Furthermore, the training in this learning subscription is updated with each new product release enabling you to stay current on key product enhancements.
FEATURES
This Oracle Learning Subscription includes new features that enhance your training experience:
- Continuous Learning: Get 24/7 access for 12 months so you can continuously learn as your training needs evolve
- Stay Current: The training is updated with each new release, enabling you to stay up-to-date on key enhancements
- Easy-to-Use Interface with Intuitive Filtering: A simple taxonomy of learning paths, courses and modules with powerful filtering helps you quickly find what interests you
- Skill-Based Learning: Attain the skills you need to competently perform your job with complete sets of digital training videos delivered by Oracle experts
- Learning Paths: Learning paths guide you through the recommended training to build the skills that interest you
- Hands-On Labs: Practice with hands-on labs using live cloud environments
- Access to Instructors: Get your questions answered from top instructors
- Reporting: Track your learning progress and achievements through your individual dashboard
CONTENT
Transaction type life cycle
- Analyze and identify transaction type life cycle: transaction type life cycle from the beginning to closing. For example, booking reservation, confirm, pay, cancel.
Modeling considerations
- Analyze other modeling considerations: transaction type, consolidated vs separated subledger view, pass through, rule-based, primary ledger only, primary plus secondary ledger, legal entities
Register Source System and PaaS (ICS) integration
- Register Source System and PaaS (ICS) integration (to include "Transaction Information" and "Line Information" worksheets, and Transaction Objects)
Configure accounting rules and edits on ledger and chart of accounts
- Configure accounting rules and edits on ledger and chart of accounts:
Reporting and Audit
- Perform Reporting and Audits: create custom OTBI report, create custom BIP report, security, period close readiness and closing exception reporting and dashboard; FRC (GL's reporting center: Studio and Smart View); and security (Security includes GL and Accounting Hub securities)
Diagnostics
- Perform diagnostics (Subledger Accounting Diagnostic - diagnose how subledger sources and attributes are used in the create accounting process)
Security
- Explain Users and Role Based Access Control
- Describe the Security Console
Accounting, reporting, audit, and reconciliation requirements
- Analyze accounting, reporting, audit, and reconciliation requirements for accounting transactions: journal entries, accounts
- Analyze accounting, reporting, audit, and reconciliation requirements for reporting transactions: journal and line descriptions, reporting attributes
- Analyze accounting, reporting, audit, and reconciliation requirements for reconciliation transactions: reconciliation reference attribute
Accounting rule configuration
- Analyze the accounting rule configuration: Journal entries, accounting method, chart of accounts, accounts derivation, intercompany
Update Registered Source System
- Update Registered Source System: accounting attribute assignments, sources, event types
· Accounting method · Journal entry rule set · Journal line rule · Account rule · Mapping set · Description rule · Supporting references · User-defined formula · Others: intercompany journal lines, gain and loss journal lines, multiperiod journal entries, accrual reversal
Transaction data and automation with web service
- Upload transaction data, correct when there are errors, and perform automation with web service
Adjust Journal Entries
- Adjust journal entries: override, create manual adjustment entries
Functional Setup Manager
- Explain Functional Setup Manager Offerings, Functional Area and Features, Manage Setup Data, and Export and Import Setup Data