This document provides a checklist of setup requirements to ensure successful financial transaction posting. It lists 12 items to check, including ensuring the balances cube is up to date, the accounting period is open, average balancing options are set up, and intercompany balancing rules are configured if needed. Maintaining the correct setup will help prevent issues when running posting programs.
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Oracle GL Cube Maintenance Checklist
This document provides a checklist of setup requirements to ensure successful financial transaction posting. It lists 12 items to check, including ensuring the balances cube is up to date, the accounting period is open, average balancing options are set up, and intercompany balancing rules are configured if needed. Maintaining the correct setup will help prevent issues when running posting programs.
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Checklist: Setup Changes which Require Cube Maintenance (Doc ID 2158731.
1)
Sl.No. Setup Change ESS Job Task List
1 New detail value added to chart of account value set Publish Chart of Accounts Dimension Members and Hierarchies to Balances Cubes - Parameter 'Publish Detail Values Only' set to 'Yes' 2 New parent value added to chart of account value set Publish Chart of Accounts Dimension Members and Hierarchies to Balances Cubes - Parameter 'Publish Detail Values Only' set to 'No' 3 New value added to 'Accounting Scenario' value set Create Scenario Dimension Members 4 New currency added Create Currency Dimension Members 5 New primary ledger, secondary ledger, reporting currency Create Ledger Dimension Members Review and Submit Accounting Configuration process added. automatically update the cube 6 New Ledger Set is created Create Ledger Set Dimension Members Cube automatically updated when ledger set changes are saved on the UI 7 New Year added to Accounting Calendar Create Accounting Period Dimension Members and Hierarchies Cube automatically updated when changes are saved on the UI 8 Update Account Hierarchies - Create or Update Tree Process Account Hierarchies From the Account Hierarchies UI Versions - Audit the tree version - Activate the tree version - Run Row Flattening for the tree version - Run Column Flattening for the tree version AND From the Publish Account Hierarchies - Select and publish the changed tree version 9 Cube rebuild required (ONLY after P2T/Refresh) Create General Ledger Balances Cube 10 Refresh balances in cube Transfer General Ledger Balances to Balances Cube 11 Create or change existing data access security or security Republish the tree version on the Publish Account Hierarchies page rules affecting a tree version for security to take effect on the cube 12 The profile option GL: Set Cube Alias to Segment Value Republish the tree version on the Publish Account Hierarchies page Description is changed for the changed Alias Checklist to Ensure Successful Posting (Doc ID 2158295.1)
Item Setup Page/ Work Area Page
FSM Task - Review and Submit Accounting Configuration 1 Ensure that cube is created for the COA and Calendar used by the Ledger. ESS Job - Create Balances Cube 2 Ensure that the cube has the latest chart of accounts dimension members Refer to Cube Maintenance checklist. Do not run any cube maintenance processes when posting is being run. Refer to the 3 Ensure that no cube maintenance programs are being run concurrently when the posting program is run. Doc ID 2158731.1 . The Cube Maintenance checklist. Work Area UI - Manage Accounting Periods 4 Ensure that the Accounting Period is in Open status. ESS Job - Open General Ledger Periods 5 For ADB Ledger ensure that the Accounting Date is a business day. FSM Task - Manage Transaction Calendars 6 For Encumbrance journals ensure that Accounting Date is in an Open encumbrance year Work Area UI - Manage Accounting Periods If there is journal or subledger level Reporting Currency or Secondary Ledger then ensure that the period is open for these Work Area UI - Manage Accounting Periods 7 ledgers ESS Job - Open General Ledger Periods 8 Ensure that the Average Balancing options are same for the Primary Ledger and its Reporting Currency. FSM Task - Specify Ledger Options If journals unbalanced by entered/accounted currency are to be allowed, ensure Suspense is enabled and a valid Default FSM Task - Specify Ledger Options 9 Suspense Account is specified. Suspense Accounts may be specified to override the default one are specified if required. FSM Task - Manage Suspense Accounts If journals unbalanced by accounted amounts within a threshold are to be allowed, ensure that Balancing Threshold Percent and 10 FSM Task - Specify Ledger Options Rounding Account are specified FSM Task - Specify Ledger Options FSM Task - Manage Intercompany Balancing Rules If journals which are balanced by accounted amounts but not balanced by Balancing Segment Values are to be allowed, then FSM Task - Manage Secondary and Clearing Company Balancing Options (for 11 ensure that Intercompany Accounting is enabled and Intercompany Balancing Options are specified. Many to Many journals up to R12) FSM Task - Manage Additional Intercompany Balancing and Clearing Options (for Many to Many journals in R13) Work Area UI - Create/Edit Journals Work Area Spreadsheet - Create Journals in Spreadsheet If many to many intercompany journals with Clearing Company are to be allowed, ensure that the journal is balanced by a valid FSM Task - Manage Secondary and Clearing Company Balancing Options (for 12 Clearing Company specified on the setup page. Many to Many journals up to R12) FSM Task - Manage Additional Intercompany Balancing and Clearing Options (for Many to Many journals in R13) If entering an intercompany journal ensure that the LE's involved are not prevented from trading with each other in the 13 FSM Task - Manage Intercompany Exceptions Intercompany Exceptions setup. If multi-currency journals are anticipated, then ensure that an Entered Currency Balancing Account is specified balance the 14 FSM Task - Specify Ledger Options journal for each combination of BSV's and entered currency. If unbalanced encumbrance journals are to be allowed, ensure that a valid Reserve for Encumbrance Account has been specified 15 FSM Task - Manage Budgetary Control for the Ledger. 16 If Journal Approval is required, ensure that the journal approvals rules are setup. FSM Task - Manage Journal Approval Rules If Accounting and Reporting Sequencing is required, then ensure that Sequencing is Enabled by Ledger/Legal Entity and a valid FSM Task - Specify Ledger Options 17 sequence is assigned to the Ledger/Legal Entity, and the sequence is active. FSM Task - Manage Accounting and Reporting Sequences Ensure that the account combinations used are enabled, active on the accounting date, allow posting, and do not violate cross- FSM Task - Manage Account Combinations 18 validation rules. FSM Task - Manage Cross-Validation Rules If Entered Currency is different from Ledger Currency ensure that conversion rates to convert entered amounts to accounted 19 Work Area UI - Manage Currency Rates amounts, are available for the selected Conversion Rate Type on the Accounting Date/Conversion Date Work Area UI - Create/Edit Journals 20 If User conversion rate type is used, ensure that the conversion rate is provided. Work Area Spreadsheet - Create Journals in Spreadsheet Work Area UI - Create/Edit Journals 21 If STAT currency is used ensure that the conversion information is not entered and accounted amounts are not entered Work Area Spreadsheet - Create Journals in Spreadsheet If reversal information is provided, ensure that the reversal period is valid, the reversal date is the same or after the accounting Work Area UI - Create/Edit Journals 22 date. For ADB ledger journals ensure that the reversal date is a business day. Work Area Spreadsheet - Create Journals in Spreadsheet FSM Task - Manage Data Access Sets 23 Logged in user should have access to the ledger OIM Task - Assign Data Roles to Users (up to R10) FSM Task - Manage Data Access for Users (R11 and up) 24 Logged in user should have access to the segment values used in the journal line account combinations FSM Task - Manage Segm