You are browsing the archive for Concurrent Requests & Reports.

Customer Relationships Listing

 

NAME: Customer Relationships Listing
SHORT CODE: ARXCURLL
MODULE: Oracle Accounts Receivables

Description: Customer Relationships Listing
Navigation: Oracle AR Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Customer Name Low : Customer Name Low
  • Customer Name High : Customer Name High
  • Account Number Low : Account Number Low
  • Account Number High : Account Number High
  • Registry ID Low : Registry ID Low
  • Registry ID High : Registry ID High
  • Relationship Type Low : Relationship Type Low
  • Relationship Type High : Relationship Type High

 

Reversed Notes Receivable Report

 

NAME: Reversed Notes Receivable Report
SHORT CODE: ARXNRREV
MODULE: Oracle Accounts Receivables

Description: Reversed Notes Receivable Report
Navigation: Oracle AR Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Set Of Books : Ledger
  • Concurrent Request ID : Concurrent Request ID
  • Currency Code : Currency Code
  • Sort Option : Sort Option
  • Start Maturity Date : Start Maturity Date
  • End Maturity Date : End Maturity Date
  • Start Reversal Date : Start Reversal Date
  • End Reversal Date : End Reversal Date
  • Remittance Bank : Remittance Bank
  • Remittance Bank Account : Remittance Bank Account
  • Customer Name : Customer Name
  • Customer Number : Customer Number
  • Note Receivable Status : Note Receivable Status
  • Report Non-Exchanged Notes : Only Report Non-Exchanged Notes

 

Automatic Clearing for Receipts

 

NAME: Automatic Clearing for Receipts
SHORT CODE: ARZACS
MODULE: Oracle Accounts Receivables

Description: Automatic Clearing for Receipts
Navigation: Oracle AR Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Clear Remitted Receipts : Clear Remitted Receipts
  • Clear Discounted Receipts : Clear Discounted Receipts
  • Eliminate Bank Risk : Eliminate Bank Risk
  • Clear Date : Clear Date
  • GL Date : GL Date
  • Remittance Bank Account : Remittance Bank Account
  • Payment Method : Payment Method
  • Exchange Rate Type : Exchange Rate Type
  • Remittance Batch Name : Remittance Batch Name
  • Receipt Number From : Receipt Number From
  • Receipt Number To : Receipt Number To
  • Customer Name From : Customer Name From
  • Customer Name To : Customer Name To
  • Customer Number From : Customer Number From
  • Customer Number To : Customer Number To
  • Undo Clearing : Undo Clearing
  • Run Bills Receivable Report : Run Bills Receivable Report
  • No of Instances : No of Instances