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SLA Part 8 - Creating Application Accounting Definition

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SLA Part 8 - Creating Application Accounting Definition - AAD

Thursday, 09 December 2010 00:00

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Anil Passi

2010 00:00 User Rating: Poor / 2 Best RATE Anil Passi In the previous part of

In the previous part of this SLA article, you have learnt creation of the Journal Line Definition. Now it is time to create AAD, which is "Application Accounting Definition".

AAD, which is "Application Accounting Definition". The purpose of AAD in SLA is to dictate which

The purpose of AAD in SLA is to dictate which "Journal Line Definition" must be used when a specific event takes place against a specific type of transaction in a specific module like Payables or Receivables. If you recollect, the "Journal Line Definition" definition creates a Credit Line and the Debit Line of a Journal.

Oracle ships out of the box an AAD for every simply module/application that uses SLA. Hence for each application like AP,AR,PA,PO etc there will exist an existing AAD in the Subledger Modules. However, for this example we will create a new AAD for Payables.

In the previous article you created a Journal Line Definition that is responsible for constructing a Journal. However, in AAD screen you will specify when the Journal Line Definition will be used. In this case, as per the image below, we are stating that journal line definition ANIL_JLD should be used for creating journal whenever any event occurs against an Invoice in Payables.

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SLA Part 8 - Creating Application Accounting Definition

http://apps2fusion.com/apps-training/r12-functional-docu

Step functional in 11i - PART

3

SLA Part 11 - Steps to Customize of SLA - Subledger Accounting Control or Third Party Accounts in R12 General Ledger E Business Tax R12 - EBiz Tax Implementation Steps EBiz Tax - Part 1 SLA Part 1 - Why SLA SLA Part 3 - Journal Line Definition SLA Part 2 Entities - Event Class - Event Types Oracle Payables - Step by

Step functional in 11i - PART

4

SLA - Account Analysis Report - Out of memory error Generate BACS File in R12 Payables for Payment run PO to AP to Fixed Assets Order to Cash - Technical Flow in R12 Steps for Closing Period in R12 Financials - Part 1 - USE FIREFOX Steps for Closing Period in R12 Financials - Part 2 Global Consolidation R12 SLA Part 4 - Application Accounting Definitions SLA Part 5 - Subledger Accounting Methods SLA Part 6 - Overall SLA Diagram SLA Part 7 - Creating Journal Line Definition Financials Notes R12 - Create Banks and Bank Accounts in Oracle Apps R12 SLA Part 9 - Create Subledger Accounting Method SLA Part 10 - Testing and explaination of SLA Config

SEARCH APPS2FUSION

- Testing and explaination of SLA Config SEARCH APPS2FUSION You can also click on "Header Assignment"
- Testing and explaination of SLA Config SEARCH APPS2FUSION You can also click on "Header Assignment"

You can also click on "Header Assignment" button in AAD to attached "Journal Entry Description" [JED] which dictates how the Journal Header description will be constructed. If you recollect, in Journal Entry Description, we concatenate static text and dynamic content from SLA Sources[mapped to DB columns or pl/sql functions] so as to construct a description for Journal Line or Journal header.

construct a description for Journal Line or Journal header. In this article we have seen that

In this article we have seen that AAD is created for each module. However, in any implementation there is a need to perform accounting for all the modules. "APPS2FUSION UK" might be running Payables and Receivables and also Project Accounting. Hence we need to create a SLAM-Subledger Accounting Method.

Using AAD we specify the Journal creation rules per module. In SLAM we specify how the Journals must be built for the entire organization "APPS2FUSION UK" across Payables and Receivables and Project Accounting. The company "APPS2FUSION UK" will have a legal entity in UK, and hence the SLAM will be attached to the UK Legal Entity.

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SLA Part 8 - Creating Application Accounting Definition

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Accounts payable implementation

written by Chanti , December 14, 2010

Hi Sir

I need material for accounts payable implementation in oracle, could you please help me for this.

Thanks

CHakri

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Great work Anil

written by Gona , December 16, 2010

Hi,

Quick clarification on AAD,

Ex: Payables, Oracle ships out of the box an AAD for Payables. Can we create a new AAD(custom) for

payables?

If

yes, then we have two AAD packages created(one AAD for out of box and one for custom). When AAD is

validated through form it will create a AAD Package dynamically which will be later invoked by create

accounting program to create journals. If this is the case, how does create accounting know which AAD is to be invoked.

If

no, each application/module can have only one AAD at any given point of time.

 

Thanks,

Gona

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SLA Rule for Tax Rate Variance

written by BhanuB , July 12, 2012

Hi Anil,

All your topics are wonderful and helps us a lot to grow in any functionalities.

I need your help on one of my requirement for creating an SLA Rule in Payables

In Payables when Invoice is matched with a PO and upon Validation they want 'Tax Rate Variance' Accouunt to be same as 'Receiving Inventory Account'.Ideally only two segements are changing i.e Busines Unit and Account Code which is specific to only one Inventory Organization.

I have created 2 Mapping Sets for both the Segments 'Business Unit' & 'Account Code' and now am held up with creating ADR Rule followed by conditions.

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2013/4/9 21:01

SLA Part 8 - Creating Application Accounting Definition

http://apps2fusion.com/apps-training/r12-functional-docu

Can you please help me in this regard on how i can achieve deriving the Account from Inventory Source.

Regards,

Bhanu

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