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Reporting Reconciling SM Assets to General Ledger (Oracle EBS – Assets)

Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Page 1: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

Reporting – Reconciling

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Reporting – ReconcilingAssets to General Ledger

(Oracle EBS – Assets)

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High-Level Overview

Asset Reconciliation Theory Asset to General Ledger Reconciliation

– Asset Reports

– General Ledger Reports

Reconciliation Process

Asset to General Ledger Reconciliation Reports

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Asset to General Ledger Reconciliation Reports– Asset Cost

– CIP Cost– Accumulated Depreciation

– Depreciation Expense

Asset Detail Extract

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Asset ReconciliationTheory

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Theory

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Asset Reconciliation Theory

Oracle Assets uses a top-down, pyramid approach to reconciling assets. This approachallows you to reconcile without having to generate transaction detail reports.

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Asset Reconciliation Theory

Assets will be reconciled to the General Ledger at the Summary Level. If and only ifthere is a reconciliation issue the Detail Level would be used. If the Detail Level does notreconcile, then the Transaction Level would be used.

Summary Reports (Reports by Cost Center and Account): Cost Summary

CIP Summary

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Reserve Summary

Detail Reports (Reports by Cost Center, Account, and Asset): Cost Detail CIP Detail

Reserve Detail

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Assets to General LedgerReconciliation

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Reconciliation

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Assets to General Ledger Reconciliation

General Ledger Setups to Reduce Reconciliation Errors:

1. Freeze Asset Journals

2. Security – Do not allow access to Asset Accounts

Set Validation Set to allow security rules

Set Segment to allow security rules

Define security rules

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Define security rules

Assign security rules Test security rules

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Assets to General Ledger Reconciliation

1. Freeze Asset Journals

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Assets to General Ledger Reconciliation

2. Security – Do not allow access to Asset Accounts Set Validation Set to allow security rules

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Assets to General Ledger Reconciliation

2. Security – Do not allow access to Asset Accounts Set Segment to allow security rules

Copyright © 2008 Chi-Star Technology SM-10-

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Assets to General Ledger Reconciliation

2. Security – Do not allow access to Asset Accounts Define security rules

Copyright © 2008 Chi-Star Technology SM-11-

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Assets to General Ledger Reconciliation

2. Security – Do not allow access to Asset Accounts Assign security rules

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Assets to General Ledger Reconciliation

2. Security – Do not allow access to Asset Accounts Test security rules

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Assets to General Ledger Reconciliation

Asset Reports used in Reconciliation:

Summary Reports (Reports by Cost Center and Account): Cost Summary CIP Summary

Reserve Summary

Detail Reports (Reports by Cost Center, Account, and Asset):

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Cost Detail

CIP Detail

Reserve Detail

Transaction Reports: Additions

Cost Adjustment

Retirements

Reclassification Transfer

Reserve Adjustments Asset Reconciliation Reserve Ledger

Journal Entry Reserve Ledger

CIP Capitalization CIP Assets

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Assets to General Ledger Reconciliation

General Ledger Reports used in Reconciliation:

Reports: Trial Balance Trial Balance - Detail

General Ledger – (132 Char)

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Reconciliation Process

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Reconciliation Process

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Reconciliation Process

Reconciliation Process Includes the following steps:1. Generate Summary Reports from Oracle Assets

Cost Summary Report

Reserve Summary Report CIP Summary Report

2. Generate Reports from Oracle General Ledger

Trial Balance Report (include all accounts) OR

Trial Balance – Detail Report (include all accounts) OR

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General Ledger (132 Char) Report (determine accounts to show on report)

Account Range for Asset Cost

Account Range for Asset Reserve

Account Range for Asset Depreciation Expense Account Range for CIP Cost

3. Match reports to reconcile

Manually Tick and Tie Download into Excel (use v-lookup or other formulas)

4. If needed – Run lower level reports from Oracle Assets to assist in any variances between Oracle Assets and OracleGeneral Ledger

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Reconciliation Process

Reconciliation Asset Cost:

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Reconciliation Process

Reconciliation Asset Clearing:

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Reconciliation Process

Reconciliation Asset Reserve:

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Reconciliation Process

Reconciliation Asset Depreciation Expense (Month):

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Reconciliation Process

Reconciliation Asset Depreciation Expense (YTD):

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Reconciliation Process

Reconciliation CIP Cost:

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Reconciliation Process

Reconciliation CIP Clearing:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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Reconciliation Process

Oracle Seeded Reports:

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AutomatedReconciliation Process

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Reconciliation Process

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Automated Reconciliation Process

Eliminate the tying out of Oracle Assets to Oracle General Ledger – add a top level to theOracle Reporting top-down / pyramid theory:

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Automated Reconciliation Process

Generate Reports that capture Oracle Assets balances and compares them to the OracleGeneral Ledger balances and identifies variances:

Oracle FA to GL Reconciliation Reports: Asset Clearing Asset Cost

Asset Reserve

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CIP Clearing

CIP Cost Depreciation Expense (Monthly)

Depreciation Expense (YTD)

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Clearing Report

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Cost Report

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Reserve Report

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation CIP Clearing Report

Copyright © 2008 Chi-Star Technology SM-39-

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation CIP Cost Report

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (Month) Report

Copyright © 2008 Chi-Star Technology SM-41-

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (Month) Report

Copyright © 2008 Chi-Star Technology SM-42-

Page 43: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (Month) Report

Copyright © 2008 Chi-Star Technology SM-43-

Page 44: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (Month) Report

Copyright © 2008 Chi-Star Technology SM-44-

Page 45: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (Month) Report

Copyright © 2008 Chi-Star Technology SM-45-

Page 46: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (Month) Report

Copyright © 2008 Chi-Star Technology SM-46-

Page 47: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Automated Reconciliation Process

Oracle FA to Oracle GL Reconciliation Asset Depreciation Expense (YTD) Report

Copyright © 2008 Chi-Star Technology SM-47-

Page 48: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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Automated Reconciliation Process

Reconciliation Process Includes the following steps:1. Generate Automated Reconciliation Reports from Oracle Assets

Oracle FA to Oracle General Ledger Asset Cost Reconciliation Report

Oracle FA to Oracle General Ledger Asset Clearing Reconciliation Report (If needed – depends on setups) Oracle FA to Oracle General Ledger CIP Cost Reconciliation Report (If needed – depends on setups)

Oracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups)

Oracle FA to Oracle General Ledger Asset Reserve Reconciliation Report

Oracle FA to Oracle General Ledger Asset Depreciation Expense (Month) Reconciliation Report

Copyright © 2008 Chi-Star Technology SM-48-

Oracle FA to Oracle General Ledger Asset Depreciation Expense (YTD) Reconciliation Report

2. If needed – Run lower level reports from Oracle Assets to assist in any variances between Oracle Assets and OracleGeneral Ledger

Page 49: Reporting - Reconciling Assets to General Le - Chi-Star · PDF fileOracle FA to Oracle General Ledger CIP Clearing Reconciliation Report (If needed – depends on setups) ... Microsoft

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