Self Learning Guides
Learn at your own pace
Core Hands-On Content
Executed examples with Snaps
Watch Introduction Video
Introduction to the Fusion Book Set
Fusion Book Set in Print
See the Printed Copy of the Fusion Book Set
List of Chapters and Topics – AR
Implementation Project
Logging into Fusion
Configure Offerings
Creating Implementation Project
Selecting Offerings
Accessing Task List
Performing Tasks
Accessing Navigator Menus
… More about Impl. Project
Creating Business Units
Create a Location
Create a Business Unit
Business Unit Functions
Business Unit Roles
Access Oracle Identity Manager
Assign Roles from OIM
Banks, Branches , Bank Accounts
Create a Bank
Create a Branch
Create a Bank Account
Configure Business Units
System Options
Payment Terms
Receivable Activities
AutoAccounting
Transaction Types
Transaction Sources
Configure Business Units…
Remit-To Addresses
Standard Memo Lines
Receipt Classes and Methods
Receipt Sources
More Setups related to BUs
Finalise Business Unit Setups
Create Customers
Pre-requisites
Create Customer
Create Address
Create Customer Accounts
Create Account Sites
Create Business Purposes
Auto Accounting
How Auto Accounting Works
Auto Accounting sources
Auto Accounting GL Accounts
Understand Auto Accounting Setups
Receivable Transactions
Open Receivables Period
Enter Invoices
Complete Invoice
Invoice Accounting
Transfer Accounting to GL
View Accounting
Receipts
Enter a Receipt
Apply Receipt to Invoices
Receipt Accounting
Transfer Accounting to GL
View Receipt Accounting
Foreign Currency Invoices
Daily Exchange Rates
Unrealised Gain/Loss Accounts
Enter Foreign Currency Invoice
Enter Foreign Currency Receipt
Apply Receipt to Invoice
Create accounting for Receipt
View Gain/Loss Accounting
Debit Memos and Credit Memos
Transaction Types
Enter a Credit Memo
Apply Credit Memo to Invoice
Enter Debit memo
Apply Dr Memo to Invoice (Work Around)
Accounting of Dr/Cr Memos
Adjustments
Setup Approval Limits
Create an Adjustment
Approve Adjustment
Adjustment accounting
Credit Transactions
Transaction Type
Create a Credit Transaction
Complete Credit Transaction
Credit Transaction Accounting
View from Original Transaction
Balance Details
Transaction Balance Details
Transaction Activities
Invoices with Rules
Bill in Arrears and Bill in Advance
Fixed Period Revenue Recognition
Variable Period Revenue Recognition
Daily Revenue Recognition All Periods
Daily Revenue Recognition Partial Periods
Invoices with Rules – Trx Flow
Enter Bill in Advance Invoice
Assign Revenue Scheduling Rules
Complete Invoice
Create Invoice Accounting
View Unearned Revenue
View (Earned) Revenue
Deferred Revenue
Create Deferred Revenue Rule
Enter Bill in Advance Invoice
Assign Revenue Scheduling Rules
Complete Invoice
Create Invoice Accounting
Milestone based Revenue Recognition
Receipt Accounting Cycle
Unidentified Receipts
Unapplied Receipts
Applied Receipts
On-Account Receipts
Clearance Methods
Accounting for above Stages
Customer Profile Classes
Create a Customer Profile Class
Assign Profile Class
Modify Profile Class
Verify Change of Attributes in Customers
Account Level profiles
Site Level Profiles
Receipts – Adjustments and Write Off
Create a Receivable Activity
Setup Approval Limits
Document Sequences
Enter Receipt and Apply to Invoice
Perform Adjustment
Perform Write Offs
View Adj. and Write Off Accounting
Chargebacks
Create a Receivable Activity
Create Transaction Type
Setup Approval Limits
Create Chargeback
View Chargeback Accounting
Misc Receipts – Miscellaneous Receipts
Create Receivable Activity
Enter a Misc Receipt
Accounting for Misc Receipt
Receipt Refund
Setup Approval Limits
Initiate Refund
Enter Refund Details
Auto-create Payment Request
Find Payment Request
Pay for Refund
Receipt Refund Accounting
Credit Memo Refund
Setup Approval Limits
Initiate Refund
Enter Refund Details
Auto-create Payment Request
Find Payment Request
Pay for Refund
Credit Memo Refund Accounting
Balance Forward Billing
Billing Cycle
Payment Terms
Customer Profile Classes
Enter Transactions
Generate BFBs
View and Print Balance Forward Bills
Late Charges and Interest
Transaction Types
Receivable Activities
Enable Late Charges
Overdue Invoices
Generate Interest Invoices
Interest Invoice Accounting
Bills Receivables
BR Transaction Types
BR Receipt Classes
Define Drawee Customers
Create a Payee
Enter a Bills Receivable
Apple BR to Invoice
BR Accounting
Bills Receivables…
Signed, Unsigned, Drawee Issued BRs
BR Remittance
Maturity and Risk Program
Invoice to BR to Receipt Flow
Accounting for BRs
Automatic Receipts
Receipt Classes and Methods
Document Sequences
Customer Default Payment Methods
Enter Invoices
Auto-create Receipts
View Formatted Receipts
Receipt Accounting
Customer Statements
Customer Profile Classes
Setup Statement Cycles
Setup Statement Options
Send Customer Statements
View Statements
ADF-Desktop Integrator
Download ADF-DI
Install ADF-DI
Setup MS Excel
Uploading Customers – FBDI
Download Customer Import Template
Prepare data in template
Generate Datafile
Upload Datafile to UCM
Import Customers from Datafile
View Imported Customers
Uploading Receipts – ADF-DI
Download Receipts Template
Enter Receipts Data
Upload Receipt Batch
Find Uploaded Batch
View Individual receipts
AutoInvoice – FBDI
Download AutoInvoice Template
Setup Line Transaction Flexfield
Setup AutoInvoice related Options
Prepare Data in Spreadsheet
Generate Datafile
Upload Datafile to UCM
Import Invoices from Datafile
Lockbox Import – FBDI
Download Lockbox Template
Setup Lockbox related Options
Prepare Data in Spreadsheet
Generate Datafile
Upload Datafile to UCM
Import Receipts from Datafile
Auto-Apply Receipts and Verify
Recurring Bill Plans
Setups related to Recurring Bill Plan
Create a Recurring Bill Plan
Generate Recurring Bill Plan
View Generated Invoices
Reference Data Sets
What is Reference Data Set
Partitioning Data with RDS
Sharing Data with RDS
Create Reference Data Sets
Assign Reference Data Sets
Collections / Adv. Collections
Roles, Methods and Preferences in Advanced Collections
Understanding Roles
Assigning Roles
Acing Methods
Collectors
Collection Preferences
Collection Methods
Scoring Engines
What are Scoring Engines
Scoring Engine Points
Weighted Average Scores
Create a Scoring Engine
Copy an Existing Scoring Engine
Delinquency Determination
Delinquencies
Scoring Engines
Determining Customer Status
Status = Current, Delinquent
Update Customer Status
Verify Customer Status
Custom Scoring Engines
Scoring Engine Data Points
Customer Segment
Create Scoring Engine
Assign Weights
Run Scoring Engine
Verify Customer Score
Strategy Management
Setup Collection Method
Strategy Groups
Strategies and Strategy Tasks
Customer Scores and Strategies
Auto-Assign Strategies to Customers
Overriding Strategies
Executing Strategy Tasks
Dunning Letters – Aged Dunning
Dunning Letter Templates
Dunning Options
Collection Methods
Setup Customer Profile Classes
Customer Scoring
Dunning Letters based on Overdue Days
Send Dunning Letters
Dunning Letters – Staged Dunning
Dunning Stages
Setup Staged Dunning
Setup Customer Profile Classes
Send Dunning Letters
View Dunning Letters
View Dunning Stages