Oracle Cloud offers a broad portfolio of software as a service applications, platform as a service, and social capabilities, all on a subscription basis. Oracle Cloud delivers instant value and productivity for end users, administrators, and developers alike through functionally rich, integrated, secure, enterprise cloud services.
 Get a Free Magzine ...Profit:The Executive's Guide to Oracle Applications

Subscribe to the OracleAppsHub to receive notifications when there are new posts:

 get RSS feed
 Oracle Fusion Applications (OFA) is a portfolio of next generation suite of software applications from Oracle Corporation. It is distributed across various product families; including financial management, human capital management, customer relationship management, supply chain management, procurement, governance, and project portfolio management
 Get a Free Magzine ...Profit:The Executive's Guide to Oracle Applications

What is Oracle Cash Management

Posted on October 16th, 2011 by Sanjit Anand |Print This Post Print This Post |Email This Post Email This Post

Have you tried OracleappsHub in ipad/iphone/smart Phone? Don't wait. try it today

Oracle Cash Management is an open integrated solution for managing your company/enterprise-wide cash cycle. In addition to seamlessly integrating with other modules from Oracle E-Business Suite, Oracle Cash Management's open interfaces allow company to easily integrate with external systems, giving timely access to global cash information . Companies those practicing and prepares cash forecast, they can project cash flows from Oracle General Ledger, Oracle Receivables, Oracle Payables, Oracle Payroll, Oracle Projects, and Oracle Purchasing. The Forecasting Open Interface allows you to also project cash flows from external systems. With the Forecasting Open Interface's distributed database support, you can generate a forecast that combines relevant transaction information from both local and remote databases which may be across region .

Oracle Cash Management lets you automatically or manually record and reconcile bank statements, matching against system transactions using rules and tolerance levels. You can review and correct any import validation or reconciliation errors online. Oracle Cash Management can automatically reconcile correcting statement lines against error statement lines and provide an audit trail for verifying correction of bank errors.

cashManagment

Fig 1: Cash Managment

Oracle Cash Management supports electronically downloading of bank statements from the bank. The Bank Statement Loader program supports standard formats such as BAI2 and SWIFT940, as well as user-defined formats. Bank statements are reconciled with payments in Oracle Payables and Oracle Payroll, receipts in Oracle Receivables, and journal entries in Oracle General Ledger. You can also reconcile with payments and receipts from other systems, including settlements from Oracle Treasury, using the Reconciliation Open Interface. The Reconciliation Open Interface is extensible, executing your custom logic when reconciling external transactions.

If you are implementing, you can refer these post that will be great help for you.

Related Posts

Posted in Cash Management | No Comments »Email This Post Email This Post | Print This Post Print This Post

Have you tried OracleappsHub in ipad/iphone/smart Phone? Don't wait. try it today
Leave a Comment

Please note: Comment moderation is enabled and may delay your comment. There is no need to resubmit your comment.