|
|
|
|
班级规模及环境--热线:4008699035 手机:15921673576/13918613812( 微信同号) |
|
坚持小班授课,为保证培训效果,增加互动环节,每期人数限3到5人。 |
|
上课时间和地点 |
|
上课地点:【上海】:同济大学(沪西)/新城金郡商务楼(11号线白银路站) 【深圳分部】:电影大厦(地铁一号线大剧院站)/深圳大学成教院 【北京分部】:北京中山/福鑫大楼 【南京分部】:金港大厦(和燕路) 【武汉分部】:佳源大厦(高新二路) 【成都分部】:领馆区1号(中和大道) 【沈阳分部】:沈阳理工大学/六宅臻品 【郑州分部】:郑州大学/锦华大厦 【石家庄分部】:河北科技大学/瑞景大厦 【广州分部】:广粮大厦 【西安分部】:协同大厦
近开课时间(周末班/连续班/晚班):即将开课,详情请咨询客服。(欢迎您垂询,视教育质量为生命!) |
|
实验设备 |
|
☆资深工程师授课
☆注重质量
☆边讲边练
☆合格学员免费推荐工作
★实验设备请点击这儿查看★ |
|
质量保障 |
|
1、培训过程中,如有部分内容理解不透或消化不好,可免费在以后培训班中重听;
2、课程完成后,授课老师留给学员手机和Email,保障培训效果,免费提供半年的技术支持。
3、培训合格学员可享受免费推荐就业机会。 |
|
课程大纲 |
|
|
|
-
课程介绍:
This course will be applicable for customers who have implemented Oracle E-Business Suite Release 12 or Oracle E-Business Suite 12.1.
Oracle Assets can help enterprises lower administrative costs by streamlining data management. In this course you will learn the fundamental concepts and implementation considerations of Oracle Asset Management. Concepts are learned through a series of tutorials, demonstrations, and practices. Upon completing this class you should be able to explain the Asset Management process from Asset Data Flow to the General Ledger, plan an Asset Management implementation, and Implement Oracle Assets, including the setting up of Asset Books, Mass Asset Additions, Asset Depreciation and Tax Accounting. Hands on practices and guided demonstrations supplement the student learning.
Learn To:
Implement Oracle Assets
Set up asset books
Explain the asset management process
Plan an asset management implementation
Set up mass asset additions
Set up depreciation and tax accounting
课程对象:
End Users
Functional Implementer
-
课程大纲:
Overview of Oracle Asset Management
•E-Business Suite Integration
•Implementation Considerations for Oracle Financials
•Oracle Assets Setup Steps
•Implementing Oracle Assets
•Adding Assets Manually
•Mass Asset Additions
•Acquire and Build CIP Assets
•Reconciling Data in Oracle Assets
Asset Controls Setup
•Oracle Assets Setup Steps
•Setup Steps Flow
•Setting Up Key Flexfields
•Location Key Flexfield
•Creating Key Flexfield Combinations
•Specifying System Controls
•Setting Up Asset Calendars
•Maintaining an Audit Trail
Asset Books
•Asset Books Regions
•Calendar Region
•Accounting Rules Region
•Organizations and Security by Book
•Security by Book Setup Steps
•Troubleshooting Security by Book
•Implementation Considerations for Security by Book
Asset Categories
•Asset Categories Positioning
•Asset Categories Regions
•Asset Categories Setup
Manual Asset Additions
•Asset Life Cycle
•Adding Assets Manually
•Detailed Asset Additions
•Asset Cost Terminology
•Accumulated Depreciation Considerations
•Manual Asset Additions Journal Entries
•Group Depreciation
•Set Up Group Assets
Mass Asset Additions
•Mass Asset Additions Process
•Using the Mass Additions Interface Table
•Tracking Expensed Items in Oracle Assets
•Changing Asset Information
•Accounting for Cost Adjustments
•Purge Mass Additions
•Creating Assets Using Web ADI
CIP Asset Additions
•Adding and Capitalizing a CIP Asset
•Acquire and Build CIP Assets
•Automatically Adding CIP Assets to Tax Books
•Modifying the Cost of CIP Assets
•Recording a CIP Asset Addition
•Capitalizing a CIP Asset
•Reversing a Capitalized Asset
•CIP Assets and Oracle Projects
Asset Adjustments and Maintenance
•Single Asset Reclassification
•Mass Reclassification
•Inheriting Depreciation Rules
•Choosing to Expense or Amortize Depreciation Adjustments
•Amortizing Adjustments Using a Retroactive Start Date
•Asset Revaluation
•Performing Physical Inventory
•Physical Inventory Reconciliation
Depreciation
•Elements of Depreciation
•Depreciation Setup Areas
•Basic Depreciation Calculation
•Depreciation Methods
•Entering Production Information
•Prorate Conventions
•Run Depreciation Process
•Depreciation Forecasts
Asset Retirements
•Tracking Asset Retirements
•Overview of Retiring an Asset
•Restrictions on Retirements and Reinstatements
•Reinstating Retired Assets
•Retirement Processing Flow
•Recording Retirements
•Retirement Reports
•Calculating Gains and Losses
Asset Accounting
•Setting Up Asset Accounting
•Oracle Subledger Accounting
•Assets Journal Entries Flow
•Reconciling Data in Oracle Assets
•Generating Reports to Reconcile to the General Ledger
•Reconciling Asset Cost Accounts
•Reconciling Mass Additions
Asset Inquiry and Reporting
•Viewing Asset Information Online
•Types of Asset Inquiries
•Asset Inquiry Options
•iAssets Search for Assets
•iAssets Setup Steps
•iAssets Setup Steps-Rules
•iAssets Setup Steps-Profile Options
•Oracle Assets Reporting
Tax Accounting
•Creating a Tax Book
•Prerequisites for Setting Up Tax Book Asset Categories
•Entering Information in Tax Books
•Updating a Tax Book Manually
•Tax Book Upload Interface
•Deferred Depreciation
•Adjusting Accumulated Depreciation
•General Tax Reports
|
|
|
|
|
|
Troubleshooting Java Applications
Classpath Errors
Class Loaders
Common Java Errors
Troubleshooting Servers
Native Libraries
Threading Architecture
Work Managers
Deadlocks
Overload Protection
Deployment Problems
Troubleshooting JDBC
Data Source Management
Diagnostics
Debug Flags
Connectivity Problems
Connection Leaks
Database Availability
Troubleshooting JMS
Management
MBean Hierarchy
Message Logging
Diagnostics
Debug Flags
Overload Protection
Lost Messages
Duplicate Messages
Troubleshooting Security
SSL Internals
Keystore Management
Debug Flags
Common SSL Problems
Certificate Validation
Embedded LDAP
Security Audit
Common LDAP Problems
Troubleshooting Node Manager
Internals
Security
Common Issues
Troubleshooting Clusters
Plug-in Configuration
OHS Overview
Plug-in Connectivity
Plug-in Diagnostics
Unicast Communication
Replication Debug Flags
Typical Replication Issues
|