R12 Ledger Architecture

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Transcript of R12 Ledger Architecture

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Release 12 : Ledger Architecture

Milan Parikh

Principal Product Manager

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Agenda

• Set of Books Architecture

• Market Drivers

• Key Features

• Business Benefits

• Upgrade

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Set of Books Architecture

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� Set of books

• Holds the accounting for 1 or more legal entities

• Defined by 3C’s

• Chart of accounts, functional currency, accounting calendar

� Each GL responsibility tied to 1 set of books

� Managing Multiple Accounting Representations

• Multiple Reporting Currencies (MRC)

• Use GL Consolidation functionality to consolidate

Set of Books Architecture

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SOB East($)

SOB West($)

SOB ATS(€)

SOB DM(€)

SOBs

Modeling Entities with Sets of Books

US East US West Austria GermanyLegal Entities

OU East OU ATSOU West OU DMOUs

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Modeling Entities with Sets of Books

Pros Cons

• Each legal entity is a separate set of books

• Data is secure

• Easy to secure definitions, such as FSG reports

• Many books to maintain

• Changing responsibilities

• Difficult to share data and setup information

• Cannot perform processes across books

• Time-consuming open/close process

• Difficult reporting

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… with Balancing Segment Values

SOB US($)

SOB Europe(€)

SOBs

OU East OU ATSOU West OU DMOUs

LEs(BSVs)

US East(01)

Austria(03)

Germany(04)

US West(02)

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Pros Cons

• Fewer books to maintain

• No changing responsibilities

• Share setup information

• Perform processes across

legal entities

• Easy reporting

• Consolidated information

• Cannot share setup and data

across currency boundary

• No data security

• Cannot secure definitions,

such as FSG Reports and

Mass Allocations

• No explicit mapping of LE’s

with BSV’s

… with Balancing Segment Values

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Market Drivers

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�Cross/Multiple-Set of Books Operations and Reporting

�Data and Definitions that can be shared and secured

�Support for Multiple Accounting Representations

Market Drivers

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Key Features

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Key Features

• Ledger - Primary, Secondary and Reporting Currencies

• Ledger Sets

• Data Access Sets

• Definition Access Sets

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Ledger

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� Defined by 4C’s

i. Chart of accounts

ii. Functional currency iii. Accounting calendariv. Accounting method

� Set of books is converted to a ledger

� Explicit modeling of legal entities via ledgers or

balancing segment values

� The transaction entries are done in Primary Ledger

Ledger

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Secondary Ledger

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Business Scenario

US GAAPUS GAAP

US COAUS COA

US CalendarUS Calendar

$$

US GAAPUS GAAP

US COAUS COA

US CalendarUS Calendar

££

French IASFrench IAS

Plan Plan ComptableComptable

French CalendarFrench Calendar

€€

Operations in US, UK, France

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US GAAPUS GAAP

US COAUS COA

US CalendarUS Calendar

$$

US GAAPUS GAAP

US COAUS COA

US CalendarUS Calendar

$$

US GAAPUS GAAP

US COAUS COA

US CalendarUS Calendar

$$

Business Scenario

US GAAPUS GAAP

US COAUS COA

US CalendarUS Calendar

££

French IASFrench IAS

Plan Plan ComptableComptable

French CalendarFrench Calendar

€€

Reporting ledger

Secondary Ledger

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Secondary Ledgers

• For global companies that must

comply with different countries’

legal requirements

• Useful for supplementary

purposes, such as consolidation

or management reporting

• Provides a complete accounting

picture within itself or a partial

picture to be grouped with other

ledgers to provide a complete

picture

• More flexibility!

• Represent legal entity(s) accounting information in a different:

• Accounting method

• Chart of Accounts

• Calendar

• Subledger Accounting Method

• Maintain at 4 Different Levels

• When security and independence is preferred, secure data and allow certain processes to be performed independently

• Management Reporting Efficiency

Business Reasons Benefits

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Secondary Ledger

SLA

Transaction

Accounting

Subledger Transactions

SLA

Corporate Ledger(Primary Ledger)

Local Statutory Ledger(Secondary Ledger)

AP AR FAOther

Subledgers

Legal Entity

Maintaining Multiple Accounting Representations with Secondary Ledgers

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Reporting Currencies

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Reporting Currencies

• Useful for consolidation reporting

and analysis

• No need to physically move

balances to create views of

consolidation data

• Beneficial for parent consolidation

entities that share the same chart

of accounts and calendar with

their subsidiaries

• For accounting and reporting in

another currency (in addition to

the ledger’s primary currency)

• Can be used with Primary or

Secondary ledgers

Business Reasons Benefits

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Use Reporting Currencies

Currency

If difference is only currency,

Conclusion

CorporateChart of accounts

Monthly Calendar

Accounting Method

US GAAPAccrual

Use a Secondary Ledger

4Cs of a Primary Ledger

If one or more of the following are different,

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Ledger Sets

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Ledger Sets

• Grouping of ledgers with the same chart of accounts and

calendar/period type combination

• Essentially treats multiple ledgers as one

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Ledger Sets

Open/Close Periods• Open/Close Periods Independently or Simultaneously

Create Journals• Allocations Across Ledgers

• Recurring Journals for All Ledgers

Translate Balances• Translate Balances for All Ledgers

View Information• No Changing Responsibilities

• View Journals and Account Balances

Create Reports• Report on One or All Ledgers in a Ledger Set

Perform the Following Across Ledgers:

Ledger 2

Ledger SetLedger Set

Ledger 1

Ledger 4

Ledger 3

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Ledger Sets

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Data Access Sets

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Data Access Sets

� Enable responsibilities to access multiple ledgers

� Achieve granular control for accessing balancing

segment values

� Setup read/write privileges

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Data Access Sets

Ledger

Legal Entities(BSVs)

US Corporate Ledger ($)

US East(01)

US West(02)

US South(03)

Access Level Read Only

• View Journals• View Balances• View Reports

Read/Write

• Create/Post Journals• Update Balances• Run Reports

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Data Access Sets

Ledger

Legal Entities(BSVs)

Access Level

US Corporate Ledger ($)

US East(01)

US West(02)

US South(03)

Read/Write to Full Ledger

• Create/Post Journals• Update Balances• Run Reports

• View Journals• View Balances• View Reports

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Define Data Access Set

Setup : Financials : Data Access Sets

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Definition Access Sets

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� Control access to setup/reference independently of data

security

� Enable setup sharing across ledgers

and ledger sets

� Enable setup autonomy within multi-legal entity ledgers

� Set up view, modify, and usage privileges

Definition Access Sets

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Definition Access Sets

Securable Definitions using Definition Access Sets

• Accounting Calendars

• AutoAllocations

• AutoPost Criteria Sets

• AutoReversal Criteria Sets

• Budget Formulas

• Budget Organizations

• Chart of Accounts Mappings

• Consolidation Definitions

• Consolidation Sets

• Elimination Sets

• FSG Reports and

components

• MassAllocations

• MassBudgets

• Rate Types

• Recurring Journals

• Revaluations

• Transaction Calendars

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Definition Access Sets

Control Access to Definitions

UseUse ViewView ModifyModify

GL Clerk Controller

Rent Allocation

Recurring Rent

Rent Allocation

Recurring Rent

Balance Sheet

Income Stmt

PrivilegesPrivileges

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Setup Definition Access Set

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Setup Definition Access Set

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Setup Definition Access Set

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Business Benefits

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Business Benefits

� Support for multiple accounting representations

� Primary Ledger, Secondary Ledgers

� Cross/multiple-ledger operations and reporting

� Ledger Set

� Data and definitions that can be shared and secured

� Data Access Set

� Definition Access Set

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Many ledgers to maintain

Changing responsibilities

Difficult to share data and setup information

Cannot perform processes across ledgers

Time-consuming open/close process

Difficult reporting

Modeling Entities with Ledgers

Pros Cons

Each legal entity is a separate

ledger

Data is secure

Easy to secure definitions;

Reports and Mass Allocations

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Cannot share setup and data across currency boundary

No data security

Cannot secure definitions, such as FSG Reports and Mass Allocations

Implicit mapping of LE’s with BSV

… with Balancing Segment Values

Pros Cons

Fewer ledgers to maintain

No changing responsibilities

Share setup information

Perform processes across legal

entities

Easy reporting

Consolidated information

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Upgrade

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Upgrade

• Sets of Books

• Global Accounting Engine

• AX Posting Sets of Books

• Global Intercompany System

(GIS)

• GL Intercompany Accounts

• Translated Currency

• Multiple Reporting Currencies

• MRC Primary Set of Books

• MRC Reporting Set of Books

• Thin MRC Reporting Book

• Full MRC Reporting Book

• Translated Balance

• Ledgers

• Subledger Accounting

• Secondary Ledgers

• Advanced Global

Intercompany System (AGIS)

• Intracompany Balancing

• Balance level RCs

• Reporting Currencies (RCs)

• Primary Ledger

• Reporting Currency

• Journal level RC

• Subledger level RC

• Balance Level RC

Release 11i Release 12

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Thank You

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