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Query in Cash Management - 11i

Posted: Tue Oct 09, 2007 3:32 am
by karan_2891
Hi,

I have a small query in Oracle 11i Cash Management module. From where do we setup in AP, AR etc so that all payment and receipt transaction should also create a record in Cash Mangement tables so that at the time of reconciliation, system picks them up automatically with status as "Unreconciled".

Regards

Karan

Posted: Tue Oct 09, 2007 3:49 am
by muzaffarnaim
By setting up profile option 'MO: operating unit' with CM responsibility.

Posted: Tue Oct 09, 2007 5:19 am
by karthikeyanp1981
There is no specific setup involved in Cash Management for picking up Payments and Receipts from respective modules ! May be i could say definition of banks ! But even then it can be done in AP also !

The setups to be done in AR is to create a Receipt Class and Recepit Method and link it with the bank account which u r using !
And if you have crated a Receipt class with remittance requirement , then u need to run the remiitances program, only then receipts will appear in cash management module for reconciliation !

With respect to AP, apart from creating bank accounts i think Payment formats take care of the remittance part! Since u will be linking the payment format with the payment documents or the cheque numbers while creating a bank account !

I would like other members to confirm the same or point out the procedure !