Kuwait Gulf Oil Company Fusion Applications Implementation: AP-Fusion Month End Closing Guide
Kuwait Gulf Oil Company Fusion Applications Implementation: AP-Fusion Month End Closing Guide
Name Position
Change Record
Reviewers
Name Position
Distribution
Note To Holders:
Document Scope
The scope of this document is to provide the standard Period End Closing process models for the following application modules:
Oracle Fusion Financials
Document Audience
This document is written for KGOC Finance
From Invoices requiring Attention, review following and take the appropriate action on the invoices available in these areas.
• Requiring My Approval : Check if any invoices are pending for approval and select approve/reject for the invoices
• Pending Approval from Others: Check if any invoices are pending for approval of others and inform approvers for approvals.
• Rejected: Review if any rejected invoices are there and update such invoices and submit again for approval.
• Invoices on Hold : review if any invoices are on Hold and if any invoices can be released for further processing of payments or not and Release holds for such
invoices by selecting the invoice and clicking on button to release the holds.
Program Purpose
Create Accounting Creates Accounting and Transfer to General Ledger
Subledger Period Close Exceptions Report This report will show the transactions which may not allow period to be closed.
Post Subledger Journal Entries Run this program in case any accounting is generated in Payables but not
transferred to General Ledger
Prepare Payables to General Ledger Reconciliation Prepare the payables to general ledger reconciliation. In this report, please note
down the value for the parameter “Request Name” since it will be required while
running reconciliation report. Ask FSG team to post the accounting entries in
general ledger. Also since this report uses financial Category assigned to
accounts, Please ensure that the financial category “Accounts Payable’ is
assigned to the related accounts.This report can also be used to reconcile the
supplier prepayments.
KGOC AP VAT Invoices Report (Through Reports and Analytics -> Shared Folder - To review the VAT invoices identified as entered using the descriptive flexfield
> Custom -> Financials -> KGOC Payables ->) setup at the supplier header level.
1) Please enter the parameters for each programs as per below screenshot.
Run by clicking on and then clicking within the popup opened. This will open a new window/window TAB. Select
the appropriete period for the report. This report will show the billing information from AP along with the listing of different exceptions.
7. Select “View”
Ensure difference column shows “0” amount. In case of difference amount not equal to zero, you can identify the different reasons for the same by clicking on the
difference amount column for the row which has difference amount not equal to zero.
5. Click on button
Open Issues
Closed Issues