ORDER TO CASH
ORDER TO CASH
ORDER TO CASH
The Order to Cash flow is the complete process of entering an order into the system
(Sales Order), delivery the good(s) (Shipping), and then producing the Invoice for the
good(s).
System administrator
Inventory, vision operations (USA)
Order Management, vision operations (USA)
Receivables, vision operations (USA)
General Ledger, vision operations (USA)
(Assign those Responsibilities to your user before starting to do if it is not assigned previously)
MTL_SYSTEM_ITEMS_B
(Note out the Inventory_item_id and also note that query will show only one row )
from menu
click on save
now if you check the back end table it will show 2 rows
(Note the query will show two rows with same Inventory_item_id )
now you need to change the organization to m1
now you need to add the quantity in your item
when you double click Miscellaneous Transactions below screen will popup
click on save
(To navigate through Responsibility you use the HAT symbol in the screen)
Navigation Orders, Returns Sales Orders
when you double click Sales Orders below screen will popup
Choose the desired Customer from the list ( note - when you choose customer few fields automatically
fill)
Now choose order type as Mixed ( also learn what are the order types from blogspots)
when you click line items tab below screen will popup
Note the moment above screen is popped up Order Number is Auto Generated
Enter
Ordered Item -- Choose the item you created (Item you want to sale or item which is ordered)
Qty --- no. of. Quantity you want sale (amount of quantity ordered)
the moment entered those two fields two tables are affected
( note the FLOW_STATUS_CODE of your order number is ENTERED because still you didn't book the
order)
click ok
Enter
(Check the shipping tab and inventory tab once no need enter any field)
Click find
1. Pick Selection List Generator
2. Pick Slip Report
3. Shipping Executions Report
Just check the above two tables for learning and go through
And check the released status from WSH_DELIVERY_DETAILS TABLE it will show Y
(y = pick conform)
Enter
Cick ok
Close all the form go back to the back to navigation form and press CTRL+L
Click on save
Now go to the previous deliver tab press ship confirm button and click ok
Once ship conform Five concurrent program will kickout
1. Bill of lading
2. Packing slip Report
3. Commercial Invoice
4. Vehicle Load Sheet Details
5. Interface Trip Stop
Once the above Interface Trip Stop program is completed normally then only your on hand quantity
will reduce
You can check in both the front end and back end
View Request
Click ok
Click on find
Note three concurrent program is running once all the three is completed invoice number is auto
Generated
To check the invoice number in front end
Navigation
click ok
Click ok
You can also check the above screen in Receivables, vision operations (USA) Responsibility
Press F11
Enter
Press ctrl+f11
If your work flow background is error out then your auto invoice is not created
Or if you didn’t create the invoice automatically then only go for manual creation of invoice
To create the invoice manually
Enter
Source -- manual
Calss – inoice
Type -- invoice
Enter the amount first and then only choose carrier and close
Just click on distribution button
Click on complete
Click ok
Check those
1. Create ACCOUNTING
2. Journal import
3. Posting single ledger - if this one complete with warning no problem
Now click Tools view accounting
Click on find
Click on review journals
Click on post
clcik on ok
Enter
Enter the Correct amount at receipt amount field in new popup screen
Click on apply
Click ok
Three concurrent program will kick out at this time
Check those
1. Create ACCOUNTING
2. Journal import
3. Posting single ledger - if this one complete with warning no problem
From posting single ledger concurrent program output note down the BATCH NAME
Now switch the Responsibility to General Ledger, vision operations (USA)
Click on find
Click on review journal
Click on post
When you click on post one dialogue box will popup with concurrent request id note that id and click ok
Links
https://www.oracleapps2fusion.com/2017/01/oracleorder-to-cash-tables-o2c-tables.html?m=0
http://www.oracleappsdeveloper.com/2013/03/oracle-order-to-cash-tables-o2c-tables.html
https://apps2fusion.com/old/apps/fm/receivables/467-order-to-cash-technical-flow-in-r12