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How to Configure to send e-Mail Separate Remittance Advice

  • by Yogesh Pachpute
  • Posted on April 20, 2017April 20, 2017
  • BI Publisher

Configure BI (XML) Publisher Separate Remittance Advice (SRA) Delivery. 1. Create the instance specific xdodelivery.cfg file Reference: Oracle® XML Publisher Administration and Developer’s Guide Release 12 Part No. B31412-01 December 2006 Page 7-45 provides an […]

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Where Can One Find A List Of Supported Printers For E-Business Suite

  • by Yogesh Pachpute
  • Posted on April 19, 2017April 19, 2017
  • Payables

Where can I find a list of supported printers for E-Business Suite (EBS)? A list of supported printers does not exist. Printing devices have a default printer control language and often can emulate the languages […]

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How to Implement Printing for Oracle Applications: Getting Started

  • by Yogesh Pachpute
  • Posted on April 19, 2017
  • Payables

How to get started on installing printers for E-Business Suite (EBS)? What are the general steps for installing a printer in order to successfully generate and print concurrent report programs from EBS 1. PRINTER The […]

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How to configure printers in EBS 11i/R12

  • by Yogesh Pachpute
  • Posted on April 19, 2017April 19, 2017
  • Payables

How to configure printers in EBS 11i/R12 Oracle E-Business Suite offers two printing solutions to handle all your printing requirements. For most printing needs, the Pasta Utility offers quick setup and easy maintenance. For additional […]

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Query to write Custom Invoice And Payment Report that matches with GL Liability Account Balance, GL Prepayment Account Balance, Expense Accounts etc.

  • by Yogesh Pachpute
  • Posted on April 12, 2017August 11, 2017
  • General Ledger

Query to write Custom Invoice And Payment Report that matches with GL Liability Account Balance, GL Prepayment Account Balance, Expense Accounts etc. 1 2 3 4 5 6 7 8 9 10 11 12 13 […]

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R12: Iexpense Expense Reports Join To Ap Invoices

  • by Yogesh Pachpute
  • Posted on February 23, 2017September 14, 2017
  • iExpense

Following joins will helps to understand exact relation between iExpenses and AP invoices. 1 2 3 4 5 6 SELECT aerh.vouchno, aerh.report_header_id FROM ap_expense_report_headers_all aerh, ap_invoices_all ap WHERE aerh.expense_status_code = 'INVOICED' AND ap.invoice_id= aerh.vouchno; then […]

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Difference between Cleared, Unreconciled, Reconciled, and Void?

  • by Yogesh Pachpute
  • Posted on January 31, 2017
  • Cash Management

  Void: We’ll take the easiest one first “Void”. This of course means that the check is no longer valid and will not be going through your bank. Unreconciled: The next one is Unreconciled. This […]

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Voiding Reconciled Payment

  • by Yogesh Pachpute
  • Posted on January 31, 2017
  • Cash Management

Issue: The payments are made against the invoices in the payment manager screen. These payments have been cleared but the payment status is shown as reconciled. Now I want to void the payment but cannot […]

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Payment Accounting Issue – Exchange Rate Not Defined

  • by Yogesh Pachpute
  • Posted on January 30, 2017
  • General Ledger

Issue: Payment is not getting accounted or payment is not posting to GL. Analysis: Query the Payment, then navigate to Tools à View Accounting Events à Check the status of Event_Status on accounting event page, […]

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