3 Maintenance for Receivables and Payables
This topic describes the maintenance of day zero reference data applicable to the Receivables and Payables module.
To initiate the operation of Receivables and Payables module within the Supply Chain Finance system, specific reference data must be established at the outset. This includes configuring reference data such as relationship master, reconciliation rules, charges, accounting parameters, tolerance levels, payment terms, and more. Additionally, administrators may need to be designated to handle administrative tasks, such as creating user accounts, and assigning tasks and privileges based on user profiles.
Maintaining Core Reference Data
Execution of Receivables and Payables transactions requires the establishment of essential reference data, including but not limited to the country list, currency details, customer categories, holiday schedules, financial institutions/banks list, branches, FX rates, and more.
Refer Oracle Banking Common Core User Guide for setting up core reference data
This topic contains the following subtopics:
- Accounting Maintenance
This topic covers the procedures for configuring reference data related to Accounting in the Supply Chain Finance system, including tasks such as account mapping, defining entry codes, assigning roles, and managing accounting entries - Alerts Maintenance
This topic describes the information to setup the reference data for Alerts such as contact details, definition and decisioning in Supply Chain Finance system. - Charges Maintenance
This topic describes the information to maintain the charges in Supply Chain Finance system. - Commodity Maintenance
This topic describes the information to maintain the commodity details to each supplier for creation of invoice data either through UI or upload. - Customer Enrichment Maintenance
This topic covers the procedures for updating additional information for a corporate in the Supply Chain Finance system. These details are then used while sending the Seller's information to import factor via FCI Message 1. - Division Code Maintenance
This topic describes the information to maintain the division codes for parties in Supply Chain Finance system. - Non Customer Maintenance
This topic provides the information of the non-customers. - Payment Terms Maintenance
This topic describes the information to maintain specific payment frequencies and dates for buyers making bulk payments on repetitive fixed dates. - Reconciliation Rules Maintenance
This topic describes the information to maintain the Reconciliation Rules in Supply Chain Finance system. - Relationship Management Maintenance
This topic describes the information to create linkage between corporates and counterparty. - Smart Maintenance
This topic describes the systematic instructions to extract data from the loan agreement, or sales contract to create/update the relationship and program. - Tolerance Maintenance
This topic describes the information to configure an acceptable discrepancy between invoice outstanding amount and payment amount to enable automatic matching of invoices with the respective payment records.