Setup: Project Financial Management, Contracts, Payables, Receivables & Cost Accounting (23B)

Below is the list of (most common ‘Required’) Setups under Project Financial Management in 23B release.

Apart from the below – a Projects Consultant will also need to be conversant with
a) Home > Others > Resource Directory (Resources/Organizations) – needed for Contracts (in a large organization) needing Security between user groups.
b) Procurement > Procurement Transaction Account Rules – needed if POs (Expense/Inventory) are cut against Projects
c) Financial > Payables > Subledger Accounting – needed if AP Invoices are raised against Projects
d) Financial > Receivables > Subledger Accounting – needed for Contract Invoice Accounting
e) Manufacturing and Supply Chain Materials Management > Cost Accounting > Subledger Accounting – needed for Project Driven Supply Chain

It might be overwhelming at first – but with time – everything will make sense.

Functional AreaTasks
Initial UsersRun User and Roles Synchronization Process
Enterprise ProfileManage Reference Data Set Data Access for Users
Manage Geographies
Manage Locations
Legal StructuresManage Legal Jurisdictions
Manage Legal Addresses
Manage Legal Entity
Manage Legal Entity Registrations
Financial Reporting StructuresManage Currencies
Manage Conversion Rate Types
Manage Daily Rates
Manage Primary Ledgers
Specify Ledger Options
Review and Submit Accounting Configuration
Organization StructuresManage Business Unit
Assign Business Unit Business Function
Manage Business Unit Data Access for Users
Manage Common CRM Business Unit Profile Options
Workforce StructuresManage Divisions
Manage Departments
Manage Department Trees
Manage Job
Manage Organization Trees
Project OrganizationsManage Project Unit Organizations
Manage Project Unit Options
Manage Project Unit Set Assignments
Manage Organization Hierarchies and Classifications
Manage Project Organization Classifications
Configure Project Accounting Business Function
Submit Process to Maintain Project Organizations
Manage Project Organization Classifications Data Access for Users
Users and SecurityManage HCM Role Provisioning Rules
Manage Users
Project FoundationManage Accounting Calendars
Manage Accounting Periods for Project Financial Management
Manage Project Accounting Periods
Manage Revenue Categories
Manage Expenditure Categories
Manage Expenditure Types
Manage Work Types
Manage Project Statuses
Manage Resource Classes
Manage Nonlabor Resources
Manage Rate Schedules
Manage Labor Costing Rules
Manage Organization Costing Rules
Manage Planning and Billing Resource Breakdown Structures
Manage Project Types
Configure Project Numbering
Manage Project Templates
Project ControlManage Financial Plan Types
Manage Project Plan Types
Project Costing BaseManage Project Costing Value Sets
Manage Project Costing Descriptive Flexfields
Manage Project Costing Messages
Manage Project Costing Attachment Categories
Manage Project Transaction Sources
Derive Billable Status of Expenditure Items from Work Type
Derive Work Type for Project Expenditure Items
Specify Number of Parallel Import and Process Cost Programs
Specify Allocation Method for Zero-Basis Amounts
Manage Project Standard Cost Collection Flexfield
Allow Cost Transactions with Zero Quantity as Nonbillable
Configure Project Accounting Business Function: Borrowed and Lent Options
Manage Project Transaction Sources: Cross-Charge Indicator
Manage Transfer Price Rules
Manage Transfer Price Schedules
Project ContractsManage Contract Line Types
Manage Contract Types
Specify Customer Contract Management Business Function Properties
Manage Common CRM Business Unit Profile Options
Project Billing BaseManage Event Types
Manage Billing Cycles
Manage Revenue Methods
Manage Invoice Methods
Manage AutoAccounting Rules
Internal Project BillingManage Billing Resource Breakdown Structures: Intercompany Indicator
Manage Intercompany Customer Supplier Association
Transaction TaxManage Tax Regimes
Manage Taxes
Manage Tax Rates and Tax Recovery Rates
Project Performance ReportingManage Key Performance Indicators
Project AccountingManage User-Defined Formulas
Manage Journal Line Rules
Manage Description Rules
Manage Mapping Sets
Manage Account Rules
Manage Supporting References
Import Supporting Reference Initial Balances
Manage Subledger Journal Entry Rule Sets
Manage Accounting Methods
Activate Subledger Journal Entry Rule Set Assignments
Manage Subledger Accounting Options
Manage Subledger Application Transaction Objects
Manage Subledger Accounting Profile Options
Application ExtensionsSet Help Options
Manage Reference Data Set Data Access for Users
Manage Configuration Set Migration Target Security Policy

 

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