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Saturday, July 27, 2013

Batch Payment

Batch Payment




Oracle Payments:
Oracle Payments Release 12 is a new, highly configurable product used to disburse and receive payments. It offers organizations



  • Centralized payment processing across Multiple organizations, currencies, and regions
  • Enhanced functionality to take advantage of new payment architecture



Oracle Payments is a fundamental part of the Oracle Applications architecture, and is provided with multiple products that requires support for payment processing. As the E-Business Suite’s new central payment engine, Oracle Payments processes invoice payments from Accounts Payable, bank account transfers from Oracle Cash Management, and settlements against credit cards and bank accounts from Oracle Receivables. Oracle Payments provides the infrastructure needed to connect these applications and others with third party payment systems and financial institutions. The centralization of payment processing in the Oracle Payments engine offers many benefits. Companies are able to efficiently centralize the payment process across multiple organizations, currencies, and regions. Oracle Payments enables better capital management by providing cash manager’s real-time visibility into cash inflows and outflows. Payments R12 provides a full audit trail and control through a single point of payment administration.




Setp1: Create XML Template

When you create a template, you assign it a data definition and upload your template layout files. Assigning the data definition makes the template available to the corresponding data source at run time.

Navigation: Parables Setup Payments Payment Administrator

General:

Name
Application
Type
Code
Data Definition
Start Date
End Date
Default Output type
Description
Test Standard Format
Payments
RTF
Test
Oracle Payments Funds Disbursement Payment Instruction Extract 1.0
13-Dec-2012






Template File:
File
Language
Territory
Translatable
IBYDC_STD1.rtf
English





Apply.

Setp2: Create Payment Format:
Financial institutions, payment systems, and/or countries have specific formatting requirements for funds capture transactions, funds disbursement transactions, payment documents, and payment-related reporting. Formats are created within Oracle Payments to represent these requirements. Each format in Oracle Payments corresponds to one Oracle XML Publisher template. Oracle Payments uses Oracle XML Publisher templates to format funds capture and funds disbursement transactions according to the formatting requirements of specific financial institutions or payment document.



Code
Name
Type
Data Extract
XML Publisher Template
Attachments
Check Payment Format
Test Check Payment Format
Disbursement Payment Instruction

Test Standard Format
None






Apply.
Setp3: Define Payment Method

Navigation: Payable Manager -->Setup Payments Payment Administrator

General Tab:
Code
Name
Description
Format value Mapping
Anticipated Distribution Float
Test
Test Payment Method
Payment Method



Bills Payables:
Bills Payables:
Use Payment Method to Issue Bill Payables
Maturity Days





Next,Next,Finsh.
Setp4: Define Payment Method Defaulting Rule



Navigation: Payable Manager --> Setup --> Payments --> Payment Administrator




Create:



Product
Payment Method
Rule Name
Oracle Payables
Test Payment Method
Test Rule

Apply.
Define Reorder Priority:
Navigation: Payable Manager --> Setup --> Payments --> Payment Administrator



Click on Reorder Priority.


Apply.
Setp5: Define Pay group:

Navigation: Setup Setup Lookups Purchasing



Type
Meaning
Application
Description
Access Level
User Extensible System


PAY GROUP
Valid pay groups
Purchasing
Valid pay groups
Yes
No
No



Code
Meaning
Description
Tag
Effective Date From
Effective Date To
Enabled
SUPPLIER GROUP
SUPPLIER GROUP
SUPPLIER GROUP

13-Dec-2012

yes




Setp6: Assign Pay group and Payment Method to Suppliers header and site level:

Navigation: Supplier Entry

query your supplier

click on update
Payment Details Tab:

Payment Method
Default
End Date
Test Payment Method
Yes




Assign Pay group:

Click on Invoice Management tab

Setp6: Define Payment Document:

Setup --> Payment Bank Accounts

query your bank account and then click on Manage payment document.



Click on Create

Document Information:

Name
Paper Stock Type
Number of Setup Documents
Format
Payment Document Category
Test payment Document
Blank Stock

Test Check Payment Format




Document Numbers:

First Available Number
Last Available Number
1





Click on Apply.
Setp7: Define PPP



Navigation: Payable Manager --> Setup Payment Payment administrator



Click on Payment process profile Go To Task

Click on create



Code
Name
Description
Process Type
Default Payment Document
Payment File
Default Printer
Payment System
Transmission Configuration
Test
Test PPP
Payments Process Profile
Printed
Test Payment Document
Send to Printer






Usage Rules:

Payment Method
Currencies
First Party Organization
Test Payment Method
All




Click on Apply.

Setp8: Define Template

Navigation: Payable Manager --> Payment Entry Payment Manager

Click on Template and then click on create.

Name
Description
User
Template Type
End Date
Test Template
Template
USER Name





Scheduled Payment Selection Criteria Tab:

Number of Pay From Days
Additional Pay Through Days
Payment Priority High
Payment Priority Low
Supplier Type
Payee
Payment Method
Document Exchange Rate Type

0
1
99





Pay Group
Legal Entities
Payment Currencies
Operating Unit
All
All
All
All


Payment Attribute tab:
Payment Date
Disbursement Bank Account
Payment Document
Payment Process Profile
Payment Exchange Rate Type
Override Settlement Priority
Override Bank Charge Bearer
Transfer Priority
Starting Voucher Number
Same as Request Date
Test Account
Test PaymentDocument
Test PPP
corporate








Process Automation Tab:
Maximize Credits
Stop Process for Review After Schedule Payment Selection
Calculate Payment Withholding and Interest During Scheduled Payment Selection
Stop Process for Review After Creation of Proposed Payments
Create payment Instructions
No
Yes
Yes
Yes
Initiate when Payment Process Request is Completed


Validation Failure Results Tab:

Document
Payment
Reject All Document for Payee When any Document Fail
Reject Only Payment With Error



Additional Information Tab:


Click on Apply.

Run Payment Process Request Template:

Click on submit single request.

Payment Process Request Name
User Template
Test PPR
Test PPT


Click on Submit.

Ofter clicked on submit the following two programs are running automatically.

A)Auto Select (Payment Process Request Program)
B)Scheduled Payment Selection Report

Ofter submit the single request the Payment Process Request status is
Invoices Pending Review


Click on Start Action.


Ofter clicking the submit button the status is
Calculating Special Amounts

ofter submit the PPR the following 3 programs are running

A)Apply Changes, Recalculate Amounts and Submit Request (Recalculate Payment Process Request)
B)Scheduled Payment Selection Report
C)Build Payments

Ofter completing the above 3 programs the PPR Status is Pending
Proposed Payment Review

Click on Start action.

Click on Go.


Once click on the go button the following programs are running
A)Build Payments
B)Format Payment Instructions

once the two programs are completed the PPR status is
Confirmed Payment

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