Oracle Fusion Project Financial Management training enables you to plan, organize, budget, forecast, collect costs, bill customers, report performance and manage activities. It helps us to plan resources, cost, billing, and revenue to bring about the successful completion of specific project goals and objectives.
Preview
By the end of this training you will Learn To:
- Use Functional Setup Manager to implement Project Financial Management offering of Oracle Fusion Project Portfolio Management.
- Identify the key concepts of managing financial projects in Oracle Fusion Project Portfolio Management that determine a successful implementation
- Capture and monitor costs.
- Recognize revenue in Oracle Fusion Project Portfolio Management.
Course Contents
Day 1
Project Financial Management Course Overview
Fusion Implementation Resources
Project Financial Management Offering
Fusion Enterprises and the Project Financial Management Case Study
Enterprise and Case Study Objectives
Case Study: InFusion Corporation
Case Study: Vision Corporation
Enterprise and Case Study Highlights
Day 2
Introducing Oracle Fusion Functional Setup Manager
Application Implementation Lifecycle
Functional Setup Enterprise Roles
Planning an Implementation
Offering Reports
Generating Implementation Task Lists
Exporting and Importing Setup Data
Using Implementation Projects
Define Common Applications Configuration for Project Financial Management
Define Enterprise Structures for Project Financial Management
Define Project Organizations
Define Reference Data Sharing
Define Project Extensions: On-Premise Only
Define Common Applications Configuration Highlights
Day 3
Define Project Foundation Configuration
Define Types and Categorizations
Define Class Categories
Define Project Statuses
Define Project Roles
Define Project Spaces: On-Premise Only
Define Project Resources
Define Burdening
Define Cross-Charge Options
Define Project Costing Configuration
Define General Costing Setup
Define Expenditure Extensions: On-Premise Only
Define Capital Projects
Define Capital Business Unit Options
Define Capitalized Interest
Define Project Costing Configuration
Define General Costing Setup
Define Expenditure Extensions: On-Premise Only
Define Capital Projects
Define Capital Business Unit Options
Define Capitalized Interest
Day 4
Define Project Control Configuration
Manage Period Profiles
Manage Spread Curves
Manage Financial and Project Plan Types
Manage Project Control Descriptive Flexfields
Define Budgeting and Forecasting Extensions: On-Premise Only
Define Project Billing Configuration
Define Billing Options
Define Business Unit Project Billing Options
Define Project Invoicing Options
Define Additional Intercompany and Interproject Cross-Charge Options
Define Business Unit Interproject Billing Options
Define Project Billing Extensions
Define Project Billing Options
Day 5
Define Project Performance Reporting Configuration
Define Project Performance Reporting Configuration Overview
Manage Performance Reporting Options for Project Units
Create Key Performance Indicators
Define Region Personalization
Define Summarization Options
Define Project Performance Reporting Configuration
Define Project Integration Gateway Configuration: On-Premise Only
Manage Integration Options
Creating Users for External Project Managers
Project Plan Type Settings
Defining Project Templates
Export Setup Data
Defining Project Options
Review Integration Processing Status
Defining Financial Options
Defining Reporting Options