Course overview
About the Oracle Fusion Finance Ad program.
Oracle Fusion Financials is a complete and integrated suite. It offers all of the core functions in a complete finance system
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Real-time scenarios & live project modules, not just slides.
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Course curriculum
Designed by real-time industry professionals around current job roles.
⬇ Download curriculum (PDF)
Oracle Fusion Finance
Fusion-Enterprise Structure Vs R12-EBS structure
Overview of Security Rules / Custom roles and how they work
- Overview of Authorization Policy Manager (APM)
Oracle Identity Manager / Authorization Policy Manager
- Introduction to Functional Setup Manager (FSM)
- Understanding Application Implementation Process through FSM
- Understanding Offerings
- Understanding Options
- Enabling Offerings / what else besides offerings - can cover how would we option a set of features and navigate thru offerings << Include cloud offerings in intro itself.. focus on FSM here >>
- Implementation Project Creation
- Task Assignments to Team Members
- Status Tracking
- Understating Task Lists/Tasks
- Overview on Rapid Implementation Process
- Approval Management
- How Approval Management works in Fusion
- Modules in which Approval Management is required
- Difference in Approval Management (Fusion vs On Prem)
- Oracle Fusion General Ledger (GL)
GL Configuration
- Create Account Calendar
- Create/Enable Currencies
- Create Value Sets
- Create Chart of Accounts
- Create Chart of Accounts Instance
- Create Primary Ledger
- Setup Ledger Options
- Create Legal Entity
- Complete Primary Ledger Definition
- Review General Ledger Role Template
- Assign Data Roles to User
- Run LDAP Job
- Open GL Periods << Not 100% hands on.. focus on showing differences between on prem and cloud >>
- GL Transaction Process
- Understanding Role Based Dashboards
- Create Journals & Post
- Journal Approval Configuration & Testing
- Create Journals in ADFdi
- Loading Journals from FBDI Templates
- Foreign Currency Journals Setups & Process
- Reverse Journals Setups & Process
- Data Access Set Setups & Process
- Security Rules Setups & Process
- Cross Validation Rules Setups & Process
- Create Ledger Set Setups & Process
- Create Reporting Ledger/Reporting Currency Setups & Process
- Create Secondary Ledger Setups & Process
- Auto Posting Setups & Process
- Auto Reversal Setups & Process
- Revaluation Setups & Process
- Translation Setups & Process
- Consolidation Setups & Process
- Generating Reports from Financial Reporting Studio (FRS)
- Generating Reports from Smart View
- Generating Reports from Account Inspector
- Generating Reports Account Monitor
- GL Period Close Process
- Oracle Fusion Accounts Payable (AP)
AP Configuration
- Create Business Unit Locations
- Create Reference Data Sets
- Create Business Units
- Assign Business Unit Functions to Business Unit
- Create Legislative Data Group
- Assign Legislative Data Group to LE
- Create Employee User
- Assign Implementation Consultant Roles to User
- Create Procurement Agents
- Common Options for Payables and Procurement
- Invoice Options Configuration
- Payment Options Configuration
- Create Payment Terms
- Create Distribution Sets
- Setting up Suppliers Number
- Assign Supplier Roles to User
- Create Supplier
- Create Supplier Addresses
- Create Supplier Sites
- Assigning Supplier Sites to Procurement Business Units
- Create Banks
- Create Branches
- Create Bank Accounts
- Create Payables Documents
- Create Payment Method
- Create Payment Process Profile
- Introduction to Payables Role Templates
- Assigning Data Roles to User
- Submitting LDAP Job
- Open Payables Periods
- AP Transaction Process
- Standard Invoice Creation
- PO Based Invoice Creation
- Invoice Creation via Spreadsheet
- Payment Creation Process
- Creating Payment Process Request
- Withholding Tax Setups & Process
- Supplier Merge Process
- Invoice Approval Configuration & Testing
- Security Profile Configuration & Testing
- Create Aging Periods & Testing
- Custom Job, Duty, Data Roles Creation
- File-Based Data Import (FBDI) Process – Suppliers Conversion Process
- File-Based Data Import (FBDI) Process – Open Invoices Conversion Process
- Creating Accounting Entries & Transferring to GL
- Payables Period Close Process
- Payables to General Ledger Reconciliation
- Creating BI Reports
- Creating OTBI Reports
- Oracle Fusion Accounts Receivables (AR)
AR Configuration
- Receivables System Options Configuration
- Define Transaction Types
- Define Transaction Sources
- Auto Accounting Configuration
- Create Payment Terms
- Create Statement Cycles
- Collector Creation
- Create Customer Profile Class
- Create Reference Data Set for Customer Site
- Create Customer
- Create Customer Site/Address
- Create Remit-to-Address
- Memo Lines Creation
- Create Receivable Activities
- Create Receipt Classes & Methods
- Create Receipt Source
- Overview on AR Role Template
- Assign Receivables Data Roles to User
- Submitting LDAP Job
- Open Receivables Periods
- AR Transaction Process
- Invoice Transaction Creation
- Credit Memo Transaction Creation
- Chargeback Setups & Transaction Creation
- Standard Receipt Creation
- Receipt Setups & Process
- Receipt/Batch Creation in Spreadsheet & Process
- Standard Receipt Reversal
- Aging Methods/Buckets & Testing
- Create Automatic Receipts
- Reviewing Customer Account Details
- File-Based Data Import (FBDI) Process – Customers Conversion Process
- File-Based Data Import (FBDI) Process – Auto Invoice Conversion Process
- File-Based Data Import (FBDI) Process – Standard Receipts Conversion Process
- Create Accounting Entries & Transfer to GL
- Receivables Period Close Process
- Receivables to General Ledger Reconciliation
- Oracle Fusion Cash Management (CM)
- CM Configuration & Transaction process
- Integration with other applications
- Manual Bank Statement Creation
- Manual Reconciliation
- Automatic Reconciliation
- Generate Cash Transactions
- External Cash Transactions
- Oracle Fusion Fixed Assets (FA)
FA Configuration
- Create Value Sets for Category KFF
- Create Value Sets for Location KFF
- Create Value Sets for Asset Key KFF
- Create Category KFF Structure
- Create Location KFF Structure
- Create Asset Key KFF Structure
- Create Category KFF Structure Instance
- Create Location KFF Structure Instance
- Create Asset Key KFF Structure Instance
- Create Segment Values to 3 KFF Segments
- Configure System Controls
- Create Fiscal Year Calendar
- Create Asset Calendar
- Define Prorate Convention
- Create Prorate Calendar
- Create Asset Book
- Create Tax Book
- Create Asset Categories
- Overview on Asset Book Role Template
- Assign Data Roles to User
- FA Transaction Process
- Manual Additions
- Asset Creation using Spreadsheet ADFdi
- Mass Additions
- Merge Asset Lines
- Split Asset Lines
- CIP Asset & CIP Capitalization
- Reclassification
- Revaluation
- Impairment of an Asset
- Run Depreciation (Draft/Final)
- Mass Copy
- What-if Analysis
- Rollback Depreciation
- Asset Retirement
- Asset Reinstatement
- File Based Data Import (FBDI) Process – Assets
- Create Accounting Entries & Transfer to GL
- Assets Period Close Process
- Assets to General Ledger Reconciliation
- Oracle Fusion Expenses
- Expenses Configuration
- Setup Expense System Options
- Create Expense Report Templates
- Define Expense Approval Rules
- Assign Data Roles to User
- Run LDAP Job
- Set Default Expense Account for Employee
- Transaction Process
- Enter Expense Report
- Approve Expense Report
- Audit Expense Report
- Process Expense Reimbursements
- Importing Expense Report into AP
- Oracle Fusion Purchasing
Purchasing Configuration & Transaction process
- Create Inventory Location
- Assign Business Unit Business Function for Procurement
Define Facilities for Procurement
- Facility Shifts
- Facility Workday Pattern
- Facility Schedules
- Create Item Master Inventory Organization
- Create Actual Inventory Organization
- Configure Procurement Business Function
- Configure Requisitioning Business Function
- Manage Common Options for Payables and Procurement
- Receiving Parameters
- Procurement Agent
- Manage Transaction Account Definitions
- Manage Account Rules
- Transaction Account Definition
- Setting Sub ledger Accounting Options
- Create Approval Group
- Manage Purchasing Document Approvals
- Assign Data Roles to User
- Run LDAP Job for Roles Synchronization
- Purchase Order Creation & Approvals
- Create an Invoice in AP Matching PO
- Oracle Fusion Tax
- Create Tax Regime
- Create Tax
- Create Tax Jurisdiction
- Create Tax Status
- Create Tax Rates
- Application Tax Options
- Tax Owner Configuration
- Assign Tax to Supplier (Header & Address)
- Payables Invoice Creation with Tax
Click here for Demo Video: Oracle Fusion Finance
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Frequently asked questions
Everything you need before you enroll.
Can I attend a demo session before enrollment? ▼
Yes. You may attend a demo class before enrollment for training quality evaluation, and interact one-to-one with the trainer for any specific requirement.
Can you schedule training as per my availability? ▼
Yes. We discuss it with the trainer and schedule the training at a convenient time for you.
What if I miss a class? ▼
You get the recorded session. You may also retake the whole training multiple times within a 6-month period with the same trainer.
Is there live project training? ▼
Yes. The curriculum includes real-time scenarios and live project modules, with the trainer explaining every topic end-to-end.
How can I pay for the course? ▼
Enroll securely via the payment gateway on this page using card, UPI or net-banking. EMI options are available.
More queries? ▼
Call us at +91 769-409-5404 & +1 678-701-4914, or write to support@bisptrainings.com.
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