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Oracle P2PDesk 
Ajay Tankhiwale 
By PresenterMedia.com
•P2P Process flow 
Shopping 
Bucket in 
iProcure 
ment 
Approval 
Workflow 
Supplier 
get the 
PO XML 
Receiving 
in full or 
partial 
Supplier 
Invoice 
Received 
User/ Buyer 
Logs in to 
iProcureme 
nt module 
Supplier 
Catalogue 
or Punch 
out 
Supplier 
Site 
Buy items 
and add to 
the cart 
Add to the 
cart & 
checkout 
Shopping 
Bucket in 
iProcure 
ment 
Approval 
Workflow 
Auto 
Create PO 
Supplier 
Invoice 
Received
•P2P Set up step1 
• Account generator workflow set up. 
• PO Creation Account Generator 
• PO Creation from requisition Workflow . 
• PO Creation Document. 
• PO Requisition Approval Workflow 
• Set Profile Option 
• 50 profile options 
• Define Approval groups. 
• Approval assignments , Job groups 
• Define Document Types 
• Define line type 
Steps 
An accent, click to edit the text 
inside. 
An accent, click to edit the text 
inside.
•P2P Set up step2 
• Define purchasing options. 
• Control min quantity , price break 
• Accrual rules , tax rules 
• Define receiving options. 
• tolerances, substitution allowed. 
• Define document sequencing 
• Default payment terms 
• Define locations, employees, buyers 
Steps 
An accent, click to edit the text 
inside. 
An accent, click to edit the text 
inside.
•XML Gateway 
Set Ups 
• Define hubs. 
• Define responsibility , define transactions 
• Define Trading partner. 
• Create supplier punch out definition 
• Create a store 
• Assign and sequence catalogues 
An accent, click to edit the text 
inside. 
An accent, click to edit the text 
inside.
•P2P tables 
Basic tables supporting transactions 
• PO_requisition_headers_all, 
• PO_requisition_lines_all 
• PO_req_distributions_all 
• Po_headers_all, PO_lines_all 
• PO_distributions_all, 
• Po_line_locations_all 
• AP_invoices_all 
• AP_invoice_distibutions_all 
• AP_checks_all 
• AP_Payment_schedules_all 
• AP_invoice_payments_all 
requisition 
Purchase 
order 
Receipts 
Invoices 
Payments 
• Rcv_shipment_headers 
• Rcv_shipment_lines 
• Rcv_transactions 
• AP_banks 
• AP_bank_branches 
Bank 
Recon 
• GL_periods 
• GL_period_status 
• GL_set_of_books 
GL
•Accounting flow 
Inventory Item, Asset Item , Expense Item 
. 
• In Purchasing the flags turned 
on are 
Expense 
Items 
Inventory 
Items 
Asset Item 
Inventory_Asset 
Flag 
N N Y 
Purchase_Item flag Y Y Y 
Inventory _Item 
Flag 
N Y Y 
Costing Enabled 
flag 
Y
•Accounting flow 
Inventory Item, Asset Item , Expense Item 
. 
• For Inventory Item 
Transaction DR CR 
PO created 
Item Received 
/create receipt 
Inventory Receiving a/c (1755) Accrual A/c (2500) 
Delivery of item Inventory Valuation a/c (5888) Inventory receiving 
a/c 
Payable invoice 
matched to PO 
Accrual a/c Liability a/c (2530) 
Payment made to 
vendor 
Liability a/c Bank clearing a/c 
(2030) 
Check cleared in 
bank 
Bank Clearing a/c Bank a/c (1000) 
Inventory issued to 
dept 
Expense a/c (5300) Inventory valuation 
a/c
•Accounting flow 
Inventory Item, Asset Item , Expense Item 
. 
• For Expense Item 
Transaction DR CR 
PO created 
Item Received 
/create receipt 
Inventory Receiving 
a/c 
Accrual A/c 
Receiving transaction Expense a/c Inventory receiving 
a/c 
Payable invoice 
matched to PO 
Accrual a/c Liability a/c 
Payment made to 
vendor 
Liability a/c Bank clearing a/c 
Check cleared in 
bank 
Bank Clearing a/c Bank a/c
•Accounting flow 
Inventory Item, Asset Item , Expense Item 
. 
• For Asset Item 
Transaction DR CR 
PO created 
Item Received 
/create receipt 
Inventory Receiving 
a/c 
Accrual A/c 
Receiving transaction Asset Clearing a/c Inventory receiving 
a/c 
Payable invoice 
matched to PO 
Accrual a/c Liability a/c 
Payment made to 
vendor 
Liability a/c Bank clearing a/c 
Check cleared in 
bank 
Bank Clearing a/c Bank a/c 
When asset addition 
done and 
capitalization in FA 
module 
Asset A/c Asset Clearing a/c
•Natural accounts 
Chart of Accounts and General Organization of Natural Accounts 
• . 
Natural Account 
Numbers 
Classification 
1000-1499 Current Assets 
1500-1599 Fixed Assets 
1600-1999 Other Assets 
2000-2499 Current liabilities 
2500-2999 Long-Term Liabilities 
3000-3999 Equity Accounts 
4000-4999 Revenue Accounts 
5000-8999 Expense accounts 
8999-9999 Statistical accounts 
• A placeholder for the second picture 
• More information can be added here by 
changing this text.

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Oracle EBS P2P 101

  • 1. Oracle P2PDesk Ajay Tankhiwale By PresenterMedia.com
  • 2. •P2P Process flow Shopping Bucket in iProcure ment Approval Workflow Supplier get the PO XML Receiving in full or partial Supplier Invoice Received User/ Buyer Logs in to iProcureme nt module Supplier Catalogue or Punch out Supplier Site Buy items and add to the cart Add to the cart & checkout Shopping Bucket in iProcure ment Approval Workflow Auto Create PO Supplier Invoice Received
  • 3. •P2P Set up step1 • Account generator workflow set up. • PO Creation Account Generator • PO Creation from requisition Workflow . • PO Creation Document. • PO Requisition Approval Workflow • Set Profile Option • 50 profile options • Define Approval groups. • Approval assignments , Job groups • Define Document Types • Define line type Steps An accent, click to edit the text inside. An accent, click to edit the text inside.
  • 4. •P2P Set up step2 • Define purchasing options. • Control min quantity , price break • Accrual rules , tax rules • Define receiving options. • tolerances, substitution allowed. • Define document sequencing • Default payment terms • Define locations, employees, buyers Steps An accent, click to edit the text inside. An accent, click to edit the text inside.
  • 5. •XML Gateway Set Ups • Define hubs. • Define responsibility , define transactions • Define Trading partner. • Create supplier punch out definition • Create a store • Assign and sequence catalogues An accent, click to edit the text inside. An accent, click to edit the text inside.
  • 6. •P2P tables Basic tables supporting transactions • PO_requisition_headers_all, • PO_requisition_lines_all • PO_req_distributions_all • Po_headers_all, PO_lines_all • PO_distributions_all, • Po_line_locations_all • AP_invoices_all • AP_invoice_distibutions_all • AP_checks_all • AP_Payment_schedules_all • AP_invoice_payments_all requisition Purchase order Receipts Invoices Payments • Rcv_shipment_headers • Rcv_shipment_lines • Rcv_transactions • AP_banks • AP_bank_branches Bank Recon • GL_periods • GL_period_status • GL_set_of_books GL
  • 7. •Accounting flow Inventory Item, Asset Item , Expense Item . • In Purchasing the flags turned on are Expense Items Inventory Items Asset Item Inventory_Asset Flag N N Y Purchase_Item flag Y Y Y Inventory _Item Flag N Y Y Costing Enabled flag Y
  • 8. •Accounting flow Inventory Item, Asset Item , Expense Item . • For Inventory Item Transaction DR CR PO created Item Received /create receipt Inventory Receiving a/c (1755) Accrual A/c (2500) Delivery of item Inventory Valuation a/c (5888) Inventory receiving a/c Payable invoice matched to PO Accrual a/c Liability a/c (2530) Payment made to vendor Liability a/c Bank clearing a/c (2030) Check cleared in bank Bank Clearing a/c Bank a/c (1000) Inventory issued to dept Expense a/c (5300) Inventory valuation a/c
  • 9. •Accounting flow Inventory Item, Asset Item , Expense Item . • For Expense Item Transaction DR CR PO created Item Received /create receipt Inventory Receiving a/c Accrual A/c Receiving transaction Expense a/c Inventory receiving a/c Payable invoice matched to PO Accrual a/c Liability a/c Payment made to vendor Liability a/c Bank clearing a/c Check cleared in bank Bank Clearing a/c Bank a/c
  • 10. •Accounting flow Inventory Item, Asset Item , Expense Item . • For Asset Item Transaction DR CR PO created Item Received /create receipt Inventory Receiving a/c Accrual A/c Receiving transaction Asset Clearing a/c Inventory receiving a/c Payable invoice matched to PO Accrual a/c Liability a/c Payment made to vendor Liability a/c Bank clearing a/c Check cleared in bank Bank Clearing a/c Bank a/c When asset addition done and capitalization in FA module Asset A/c Asset Clearing a/c
  • 11. •Natural accounts Chart of Accounts and General Organization of Natural Accounts • . Natural Account Numbers Classification 1000-1499 Current Assets 1500-1599 Fixed Assets 1600-1999 Other Assets 2000-2499 Current liabilities 2500-2999 Long-Term Liabilities 3000-3999 Equity Accounts 4000-4999 Revenue Accounts 5000-8999 Expense accounts 8999-9999 Statistical accounts • A placeholder for the second picture • More information can be added here by changing this text.