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Raju Ch

ORDER TO CASH CYCLE:


The first and foremost thing before raising a sales order, a customer and the Item must be
created.
In order to created a customer, follow below navigation
Order Management Super User Operations (USA)>Customer>Standard
It then opens a self service page. Search whether the customer already exists as shown in the
below screen.

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Click on the create button to create if the customer doesnt exists. Fill the mandatory fields,
profile class and account site address as shown in the below screens.

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Click Apply button to save the details.

Then edit the payment tab of the saved customer to enter the bank details as shown in the below
screen

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The underlined tables which stores the customer information are


HZ_PARTIES, HZ_LOCATIONS, HZ_PARTY_SITES, HZ_PARTY_SITE_USES.
Another prerequisite is to create an item
Navigation: Inventory > Items > Master Items
Create an item and select item attributes as shown in different tabs in the below screen.

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Select the item template type, which specifies the item characteristic and accordingly the
attributes are defaulted. So select Tools > copy from

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Select the Purchased item as example we are taking the item as Purchased item and press apply
button.

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Then assign an organization where physically item is stored. For that select tool>Organization
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Assignment and check the organization you want to select as shown in the below screens.
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Important tables which store the item definition and SQL tip as below
select inventory_item_id, segment1, organization_id from apps.mtl_system_items_b
where segment1 = 'Fossil Watch';
NVENTORY_ITEM_ID SEGMENT1 ORGANIZATION_ID
----------------- ---------------------------------------- --------------43817
Fossil Watch
204
43817
Fossil Watch
207
You can get the Organization details form the following
select organization_id, organization_code from apps.mtl_parameters
where organization_id in (204,207);
ORGANIZATION_ID ORG
----------------204
V1
207
M1

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You can assign the item to a category as shown in the below screen

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Navigation: Inventory, Vision Operations (USA)>Transactions>Miscellaneous
Transaction
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Create stock for item using Miscellaneous Receipt

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And enter the following information:


Type: Miscellaneous receipt
Click on the Transaction Lines button

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In the Miscellaneous receipt (M1) form, enter the following information:


Item: Fossil Watch
Sub inventory: FGI
Quantity: 100
Account: Invoke the LOV and enter the Account Alias 'Miscellaneous'
Save changes.

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Check the material transaction that was just created.


Navigate to Inventory > Transactions > Material Transactions
Enter the item in the Find Material Transactions screen and click on Find

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Check the On-hand quantity for your item. Navigate to Inventory > On-hand, Availability > Onhand Quantity. Enter the item in the Query Material screen and click on Find. Verify that the Onhand quantity exists.

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Assign item to Price List:


Navigate to Oracle Pricing Manager > Price Lists > Price List Setup. You could create a new
price list, but in this test flow, we will assign your item to an existing price list 'Corporate'.
Query the price list 'Corporate'.

Move the cursor to the List Lines section, and add a new line using Ctrl + Down Arrow on your
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keyboard, or by going to File > New. Enter the following information:

R Product Context: Item

Product Attribute: Item Number


Product Value: Fossil Watch
Value: 100
the rest of the required fields should default in.
Underlying tables are affected:
QP_LIST_HEADERS_ALL_B, QP_LIST_HEADERS_TL
QP_LIST_LINES, QP_PRICING_ATTRIBUTES

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Create Order:
We are now ready to create a sales order.

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PSuper User, Vision Operations (USA) >Orders, Returns >
1. Navigate to Order Management
Pthe following information is entered.
Sales Orders and make sure
Order Information tab
Header)
A(Order
Customer Name:
NTT
DATA
Incorporation
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Make sure the Ship To/Bill to Locations are defaulted in.
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Order Type: Mixed
PriceC
List: Corporate
Salesperson: No Sales Credit
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Go to the Line Items tab, and enter the following information.
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Line Items tab (Order Lines)
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Ordered Item : Fossil Watch
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Qty : 20
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UOM : Defaults to Ea
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Save.
PPrice List Corporate has defaulted from the Header, and that the
In the Pricing tab, notice that the
List Price 100 is the priceP
you set up in the price list.
Click Book Order A
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Now you can see the status of the Sales as Booked.


Underlying Tables affected:
In Oracle, Order information is maintained at the header and line level.
The header information is stored in OE_ORDER_HEADERS_ALL and the line information in
OE_ORDER_LINES_ALL when the order is entered. The column called
FLOW_STATUS_CODE is available in both the headers and lines tables which tell us the status
of the order at each stage.
select order_number, header_id, flow_status_code from oe_order_headers_all
where order_number = 66518;
ORDER_NUMBER HEADER_ID FLOW_STATUS_CODE
--------------------------------- - ----------------66518
212312
BOOKED
Finding the line_id and status of the order line based on header_id
select header_id, line_id, line_number, flow_status_code from oe_order_lines_all where
header_id = 212312;
HEADER_ID LINE_ID LINE_NUMBER FLOW_STATUS_CODE
---------- ---------- ----------- -----------------------------212312
408282
1
AWAITING_SHIPPING

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Delivery Details: Delivery details of the items are created in the shipping execution module. It
inserts the records in the following tables.
WSH_DELIVERY_DETAILS and WSH_DELIVERY_ASSIGNMENTS
Finding delivery detail information based on the order_line_id

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select source_header_number, source_header_id, source_line_id, delivery_detail_id,


released_status
from wsh_delivery_details
where source_code = 'OE' and source_line_id =408282;
SOURCE_HEADER_NUMBER
SOURCE_HEADER_ID SOURCE_LINE_ID DELIVERY_DETAIL_ID
66518
212312
408282
3979467
RELEASED_STATUS
R
Where R is for Ready to Release

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Pick Release:
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Navigation:
C> Release Sales Order > Release Sales Orders.
Shipping
In order tab, enter the Order number.
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Go to the Shipping tab and select Auto create Delivery,
Auto Pick Confirm and Auto Pack
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Delivery fields to YES
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In Inventory tab select Ware house as M1 and Auto Allocate to YES. Then click on Execute
Now button

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This runs the Pick Release process, in turn will kick off several other requests like Pick Slip
Report,
Shipping Exceptions Report and Auto Pack Report as shown in the following screen.

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Underlying Tables
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As Auto create Delivery was set to Yes a new record is created in the table
WSH_NEW_DELIVERIES.
C is populated in the table WSH_DELIVERY_ASSIGNMENTS.
DELIVERY_ID
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The RELEASED_STATUS in WSH_DELIVERY_DETAILS would be now set to Y (Pick

R Confirmed) as Auto Pick Confirm is set to Yes ,otherwise RELEASED_STATUS is S (Release


to Warehouse).
Finding the delivery associated to the delivery detail and its status
select wnd.delivery_id, wnd.status_code
from wsh_new_deliveries wnd, wsh_delivery_assignments wda, wsh_delivery_details wdd
where wdd.delivery_detail_id = wda.delivery_detail_id
and wda.delivery_id = wnd.delivery_id
and wdd.delivery_detail_id = 3979467;

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DELIVERY_ID STATUS
------------------3785372
OP
Where OP stands for Open and describes Delivery is Open, has not been shipped.
Ship Confirm the Order:
Navigation:
Order Management Super User>Shipping >Transactions.
Query with the Order Number.

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P tab.
Notice the following in the Lines/LPNs
Detail: The delivery detail
of the shipment
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Delivery: The delivery
that
got auto created during pick release
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Line Status: Staged/Pick Confirmed
Next Step: ShipE
L Confirm/Close Trip Stop
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Click On Delivery Tab

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Click on Ship Confirm. A message pop ups confirming the delivery was successfully confirmed

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This will kick off concurrent programs like INTERFACE TRIP Stop, Vehicle Load Sheet
Details, Commercial Invoice, Packing Slip Report and Bill of Lading as shown in the below
screen.

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Underlying tables affected:

RELEASED_STATUS in WSH_DELIVERY_DETAILS would be C (Ship Confirmed)


FLOW_STATUS_CODE in OE_ORDER_HEADERS_ALL would be BOOKED
FLOW_STATUS_CODE in OE_ORDER_LINES_ALL would be SHIPPED

Finding delivery details from OM to Inv as below


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delivery_detail_id, released_status, oe_interfaced_flag, inv_interfaced_flag


R select
from wsh_delivery_details
where source_code = 'OE' and source_line_id = 408282;
Output as below
3979467
C
Y
Y
released_status = C (Shipped) -- becomes Shipped after ship confirm, even before ITS
oe_interfaced_flag = Y -- signifies ITS has interfaced shipping data to OM
inv_interfaced_flag = Y -- signifies ITS has interfaced shipping data to INV

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As an optional step, you can check if the item has actually been shipped out of inventory.
Navigate to Inventory > Transactions > Material Transactions
Enter the following information in the Find Material Transactions screen and click on Find
Transaction Date : Ensure the transaction date is within the range specified
Source Type : Sales Order
Source :
-Evoke the LOV and click on the button Combinations
-Enter your Sales Order Number and Order Type Mixed, then click OK
-As 66518.Mixed.ORDER ENTRY

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Go to the Transaction Type tab, and notice the line with Transaction Type as Sales Order Issue.
This is the Inventory Transaction that happened when the item was shipped out of the warehouse
M1, hence the negative quantity -20.
The other two lines with Transaction Type = Sales Order Pick, are for the move order transaction
that happened automatically during Pick Release , when the item was moved from the pick-from
subinventory to the staging subinventory. Hence there is one line each for a negative and positive
transaction from/to each subinventory. The final shipment to the customer (sales order issue) is
made from the staging subinventory.

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Invoice
First check the status of the order line.
Navigate to the sales order form, and query your sales order. Go to the Line Items tab and check
that the status of the line is 'Shipped'.
Go to Tools > Workflow Status to verify the workflow. This shows that the order line workflow
is now at the Fulfill - Deferred activity with a status of Deferred as shown below. This means
that the next steps is to run the Workflow Background Process.

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Navigation:
Order Management >view >Requests and run the Workflow Background Process

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In addition, notice that the AR concurrent requests Autoinvoice and Autoinvoice Import Program
get kicked off automatically to import the invoices B
into AR. OM inserts invoice data into the AR
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interface tables through 'Invoice Interface', which runs in the background.AR picks up the data
8 concurrent program.
from the interface tables through the 'Autoinvoice'
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Tables Effected:
Inserts the records RA_INTERFACE_LINES_ALL
with
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INTERFACE_LINE_CONTEXT
=
ORDER
ENTRY
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INTERFACE_LINE_ATTRIBUTE1= Order_number and
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INTERFACE_LINE_ATTRIBUTE3=
Delivery_id
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And
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select * from
apps.RA_CUSTOMER_TRX_ALL where
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INTERFACE_HEADER_ATTRIBUTE1='66518'
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select * from apps.ra_customer_trx_lines_all where
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INTERFACE_LINE_ATTRIBUTE1='66518'

Select the output to check whether data has successfully imported into receivables tables to
create Invoice as shown below

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The Invoice created can be seen using the Receivables
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Navigation:
S Transactions
Receivables Super User> Transactions>
Query with the Order NumberP
as Reference and Source as ORDER ENTRY
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Click the Line Items to view the line information

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Create Receipt:
Navigation:

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Receivables> Receipts> Receipts


Enter the Receipt method as manual and receipt type as Standard, it doesnt need to do
remittance and clearance method is direct. Also enter customer and amount. Click apply button,
which insert the records into below table.
AR_CASH_RECEIPTS_ALL

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Transfer to General Ledger:P
Select Tool>Create Accounting
P from the receipt form as shown below
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Check Create Final Accounting Post to GL and click OK.

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This kicks Create Accounting program.

It creates records in the GL_INTERFACE table. You can view the created account information
as shown in the below screen

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Created accounting information displayed

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Journal Import:
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Navigation:
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General Ledger > Journal> Import> Run
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To transfer the data from General Ledger Interface table to General Ledger, run the Journal
Import program from Oracle General Ledger. Enter parameters as below, selection criteria is to
run for a specific group id, no group id or all group id. Click import.

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It kicks off Journal Import program

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P import was successful. If it successful, underlying tables
Click on the output to check whether
are effected
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GL_JE_BATCHES, GL_JE_HEADERS, GL_JE_LINES
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Posting:
We have to Post journal batches that we have imported previously to update the account balances
in General Ledger.
Navigation:
General Ledger> Journals > Enter

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Query for the unposted journals for a specific period as shown below
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From the list of unposted journals displayed, select the journal that to be poated and click on Post
button to post the journal

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It runs Posting: Single Ledger Program

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To view Journal, click Review Journal button. Table effected GL_BALANCES

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