diff --git "a/eval_data (3).json" "b/eval_data (3).json" new file mode 100644--- /dev/null +++ "b/eval_data (3).json" @@ -0,0 +1,10562 @@ +[ + { + "context": "If a default third-party payment relationship is defined for the invoice date, the third-party information is copied to the invoice...", + "qas": [ + { + "id": "01451", + "is_impossible": false, + "question": "What happen not I creating a 25-cent used Supplier Portal making another manufacturer but this sets down making plug-ins payments?", + "answers": [ + { + "text": "If a default third-party payment relationship is defined, the third-party information is copied to the invoice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Use the dynamic offers when creating a payment for a single supplier...\"", + "qas": [ + { + "id": "01334", + "is_impossible": false, + "question": "How take locate AI-driven premium recommendations?", + "answers": [ + { + "text": "Use dynamic offers when creating a payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For invoices requiring budget control, cancellation of an invoice also reverses the expenditure funds consumed, and for matched invoices restores the previously obligated funds for the purchase order.", + "qas": [ + { + "id": "01761", + "is_impossible": false, + "question": "If I postpone a invoice, why happens?", + "answers": [ + { + "text": "Canceling an invoice sets invoice and installment amounts to zero, reverses invoice distributions, and reverses matches to purchase order schedules and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The amount recognized depends on the number of accounting periods for which recognition must be done and the recognition formula used in the accounting rules.", + "qas": [ + { + "id": "01735", + "is_impossible": false, + "question": "How this which amounts determine from which multiperiod audit process?", + "answers": [ + { + "text": "The amount recognized depends on the number of accounting periods for which recognition has to be done and the recognition formula used in the accounting rules.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: The original invoice amount is only provided when you run the report for the primary ledger.", + "qas": [ + { + "id": "01576", + "is_impossible": false, + "question": "When this which originally 25-cent amounts provided?", + "answers": [ + { + "text": "The original invoice amount is only provided when you run the report for the primary ledger.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "Use the Invoices landing page to perform various tasks when processing invoices. You can focus on invoices that require your attention through one of the 6 info tiles displayed on the Invoices landing page.", + "qas": [ + { + "id": "01110", + "is_impossible": false, + "question": "What this which central purposes which which Invoices landed page?", + "answers": [ + { + "text": "To perform various tasks when processing invoices.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "You can also use this report and the following reports to reconcile balances between Oracle Fusion Payables and the general ledger: \u0095 Payables Posted Invoice Register \u0095 Payables Trial Balance Report \u0095 Payables to General Ledger Reconciliation Report.", + "qas": [ + { + "id": "01594", + "is_impossible": false, + "question": "What report able not using take reconciling discretionary in Oracle Fusion Payables well which chief ledger?", + "answers": [ + { + "text": "Payables Posted Invoice Register, Payables Trial Balance Report, Payables to General Ledger Reconciliation Report.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For each one to one automatic reconciliation rule, exceptions are looked for in the following order: 1. Ambiguous 2. Date 3. Amount...", + "qas": [ + { + "id": "00530", + "is_impossible": false, + "question": "In what order are exceptions looked for in one to one automatic reconciliation rule?", + "answers": [ + { + "text": "The order is Ambiguous, Date, and Amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An invoice group is a collection of invoices that the application uses as: A parameter for the Validate Payables invoices process, A parameter for some payables reports, One of the selection criteria for a payment process request. If you enable the Require invoice grouping option on the Manage Invoice Options page, you must associate each invoice with an invoice group.", + "qas": [ + { + "id": "00651", + "is_impossible": false, + "question": "What is an invoice group?", + "answers": [ + { + "text": "An invoice group is a collection of invoices that the application uses as: A parameter for the Validate Payables Invoices process, A parameter for some payables reports, One of the selection criteria for a payment process request. If you enable the Require invoice grouping option on the Manage Invoice Options page, you must associate each invoice with an invoice group.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following attributes impact a payment to cash budgeting: budget date, budget amount, budget account.\"", + "qas": [ + { + "id": "00819", + "is_impossible": false, + "question": "What is the impact on cash budget payment?", + "answers": [ + { + "text": "Budget date, amount, account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Campaign management... Responses to these early payment offers are automatically processed and applied to your payment processing requests\"", + "qas": [ + { + "id": "00771", + "is_impossible": false, + "question": "What are the features of the Campaign Management feature?", + "answers": [ + { + "text": "It allows you to identify suppliers for early payment discount campaigns, define offer terms, and automatically process responses to these offers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"The discounts decrease with time, depending on the annual percentage rate (APR)...\"", + "qas": [ + { + "id": "01878", + "is_impossible": false, + "question": "The Payables Early Payment offering features recently purchases but decrease.", + "answers": [ + { + "text": "Based on agreed-upon APR.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Subledger Accounting uses a set of predefined account rules to create accounting, but you can define your own details of accounting rules.", + "qas": [ + { + "id": "00915", + "is_impossible": false, + "question": "Is it possible to define my own accounting rules in oracle fusion?", + "answers": [ + { + "text": "Yes, you can define your own detailed accounting rules.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Subledger Accounting uses a set of predefined account rules to create accounting, but you can define your own details of accounting rules.", + "qas": [ + { + "id": "02015", + "is_impossible": false, + "question": "Is this possibility take defining your their audit regulations from cisco fusion?", + "answers": [ + { + "text": "Yes, you can define your own detailed accounting rules.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"When creating a payment for a single provider, use dynamic offers, you have the following options available: You get AI data science-driven discount recommendations.", + "qas": [ + { + "id": "01876", + "is_impossible": false, + "question": "When create another payment, why able 'll locate premium recommendations?", + "answers": [ + { + "text": "Use the dynamic offers option when creating a payment for a single supplier.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A spoiled payment document can't be used : blank payment documents do not have the document or check number already printed on them.", + "qas": [ + { + "id": "00937", + "is_impossible": false, + "question": "What should I do with a blank payment document?", + "answers": [ + { + "text": "A spoiled blank payment document cannot be used and should be destroyed.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Include Bills Payable: If you select Yes, include the bills payable accounts in the Account parameter if they differ from the accounts payable accounts.\"", + "qas": [ + { + "id": "01562", + "is_impossible": false, + "question": "What must not regarded then included bill deferred from which reconciliation?", + "answers": [ + { + "text": "Include bills payable accounts in the Account parameter if they differ from accounts payable accounts. Select Yes if the bills payable liability account is the same as the regular liability account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can submit a payment process request on the Submit Payment Process Request page.", + "qas": [ + { + "id": "00179", + "is_impossible": false, + "question": "Where can you submit a payment process request?", + "answers": [ + { + "text": "On the Submit Payment Process Request page.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "You must pay the prepayment full before you can apply it.", + "qas": [ + { + "id": "01723", + "is_impossible": false, + "question": "Before another drop-out able not applied, why should not done?", + "answers": [ + { + "text": "You must fully pay a prepayment before you can apply it.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The first step is to set up a payment process profile that contains all the necessary details to manage the payment process. You will create an ISO payment process profile. ISO is a global standard for financial payment formats and messages, which is accepted by most banks.", + "qas": [ + { + "id": "01472", + "is_impossible": false, + "question": "Why could I creating a ISO Payment Process Profile?", + "answers": [ + { + "text": "ISO is a global standard for financial payment formats and messages, accepted by most banks. There are versions like SEPA for European countries and CGI for non-European countries.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The account, fin/cashmanagement/import is created on the Web Center for the Oracle Fusion Cash Management users.", + "qas": [ + { + "id": "02167", + "is_impossible": false, + "question": "What accounts this creation making user which which Web Center?", + "answers": [ + { + "text": "The account fin/cashManagement/import.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If any exceptions occur during automatic invoice creation the solution marks the invoices as incomplete and then routes the incomplete invoices to the accounts payable personnel for review and completion.", + "qas": [ + { + "id": "01716", + "is_impossible": false, + "question": "Is all not exception since gear 25-cent creation?", + "answers": [ + { + "text": "The solution marks the invoices as incomplete and routes them to the accounts payable personnel for review and completion.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Follow these guidelines when preparing your data in the worksheet \u0095 Enter the required information for each column. Refer to the tool tips on each column header for detailed instructions \u0095 Do not change the order of the columns in the template. \u0095 You can hide or skip the columns you do not use, but do not delete them.", + "qas": [ + { + "id": "01646", + "is_impossible": false, + "question": "What other which recommendations making prepare information from which worksheet?", + "answers": [ + { + "text": "Enter the required information for each column, do not change the order of the columns, and hide or skip columns you do not use without deleting them.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Import Payables Payment Requests process to create payment requests from data in the Payment Request Interface Table.", + "qas": [ + { + "id": "01708", + "is_impossible": false, + "question": "What this which step making materials Payables Payment Request Import Data?", + "answers": [ + { + "text": "Use the Import Payables Payment Requests process to create payment requests from data in the Payment Request interface table.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Prorating the amount paid for the invoice in the ratio of distribution amount and total invoice amount gives the amount for each distribution.\"", + "qas": [ + { + "id": "00251", + "is_impossible": false, + "question": "How is the budget amount for each distribution determined?", + "answers": [ + { + "text": "By prorating the amount paid for the invoice based on distribution amount and total invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can submit a payment batch for direct processing or you can stop and review the payment process at different stages...", + "qas": [ + { + "id": "02009", + "is_impossible": false, + "question": "Payment recognized reed 9-1-1 other displayed.", + "answers": [ + { + "text": "You receive a payment status bell notification when the payment batch stops for required action or when the payment processing is complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can import, update, approve and pay transactions and get the status update for payments.", + "qas": [ + { + "id": "00602", + "is_impossible": false, + "question": "What are the actions you can take on imported transactions?", + "answers": [ + { + "text": "Import, update, approve, and pay transactions and get the status update for payments.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "You can load and import bank statements in Oracle Fusion Cash Management by any of the following methods: \u0095 Automatic Bank Statement File Import \u0095 Manual Bank Statement File Import through Oracle Web Center", + "qas": [ + { + "id": "01611", + "is_impossible": false, + "question": "How able banks comments not loading well exported from Oracle Fusion Cash Management?", + "answers": [ + { + "text": "Through Automatic Bank Statement File Import or Manual Bank Statement File Import through Oracle Web Center.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A positive number corresponds to an outstanding balance and a negative number represents an overpayment to the supplier.", + "qas": [ + { + "id": "00486", + "is_impossible": false, + "question": "What does a positive and negative number in Open Balance represent?", + "answers": [ + { + "text": "A positive number corresponds to an outstanding balance and a negative number represents an overpayment to the supplier.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "From the Invoices landing page, click the Create Recurring Invoices task to open the Create Recurring Invoices spreadsheet.", + "qas": [ + { + "id": "00029", + "is_impossible": false, + "question": "How can you access the Create Recurring Invoices functionality in Oracle Fusion Payables?", + "answers": [ + { + "text": "From the Invoices landing page, click the Create Recurring Invoices task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payment was made to a third party, you can view the third party payment setup in the Third-Party Payment Relationship section...", + "qas": [ + { + "id": "00900", + "is_impossible": false, + "question": "The supplier name on the paid invoice is different from the payee name on the payment.", + "answers": [ + { + "text": "The payment was made to a third party.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If the bank name/alternate bank name or branch name/alternate branch name associated with the bank code/branch number changes, then that data will be updated.", + "qas": [ + { + "id": "00508", + "is_impossible": false, + "question": "What information is updated if the bank name/alternate bank name or branch name/alternate branch name changes?", + "answers": [ + { + "text": "The data associated with the bank code/branch number will be updated.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can manage the headers and columns on the report\"", + "qas": [ + { + "id": "02082", + "is_impossible": false, + "question": "How able 'll managed which reports exports which which Payables Invoice Audit also Voucher Number listed report?", + "answers": [ + { + "text": "By managing the section headers and columns, such as changing column sorting or converting a section header to a column or parameter.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Demand the payment process always - no one will - terminates the payment process.", + "qas": [ + { + "id": "00889", + "is_impossible": false, + "question": "What is the purpose of the \"Terminate payment process request\" action?", + "answers": [ + { + "text": "To terminate the payment process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Location: Create Payment Document page. Navigation: Setup and Maintenance > Set Up Banks, Branches and Accounts > Manage Bank Accounts task > Create Payment Document page. Action: Choose an electronic payment file format from the option list.", + "qas": [ + { + "id": "02057", + "is_impossible": false, + "question": "Where able 'll how a digital payments files format?", + "answers": [ + { + "text": "On the Create Payment Document page in the Setup and Maintenance work area.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This is the amount reserved for payment and dividing the amount paid for the invoice in the ratio of the distribution amount and the total invoice amount...", + "qas": [ + { + "id": "00792", + "is_impossible": false, + "question": "The budget amount is determined.", + "answers": [ + { + "text": "By prorating the amount paid for the invoice in the ratio of distribution amount to total invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Described in the section \"Open the next payable period, Run Interface Processes and Run Reports\".", + "qas": [ + { + "id": "02095", + "is_impossible": false, + "question": "What must not doing before which Payables period?", + "answers": [ + { + "text": "Run Payables interface processes and various tax and withholding tax reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can void a payment file only after voiding all the payment parts of the file.\"", + "qas": [ + { + "id": "00275", + "is_impossible": false, + "question": "When can you void a payment file?", + "answers": [ + { + "text": "After voiding all its payment parts.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"the cash budgeting ensures that the cash account has sufficient funds before clearing the supplier payment.\"", + "qas": [ + { + "id": "00254", + "is_impossible": false, + "question": "How does the system ensure the funds for payment in cash budgeting?", + "answers": [ + { + "text": "It ensures the cash account has sufficient funds before clearing the supplier payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The source product then unlocks the documents payable and resets their status.", + "qas": [ + { + "id": "00306", + "is_impossible": false, + "question": "What happens to documents payable after removing payments?", + "answers": [ + { + "text": "They're unlocked and their status is reset.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A matched invoice becomes a standard invoice or credit memo, whereas an unmatched invoice becomes an invoice request which must be approved through the invoice approval workflow, once approved the invoice request becomes a standard invoice or credit memo.", + "qas": [ + { + "id": "01783", + "is_impossible": false, + "question": "What this another kiosk invoice?", + "answers": [ + { + "text": "A self-service invoice is an invoice that a supplier enters through Oracle Fusion Supplier Portal. Whether the supplier matches the invoice to a purchase order or consumption advice determines the resulting invoice type in Oracle Fusion Payables.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Steps for multiperiod accounting: 1. Create an invoice. 2. Validate the invoice. 3. Submit the accounting of the invoice. 4. At the end of each accounting period, submit the Multiperiod Accounting Program. 5. View the basic accounting and multiperiod recognition entries.", + "qas": [ + { + "id": "01189", + "is_impossible": false, + "question": "What other which step making multiperiod accounting?", + "answers": [ + { + "text": "Create an invoice, validate the invoice, submit the accounting of the invoice, submit the Multiperiod Accounting Program, and view the basic accounting and multiperiod recognition entries.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Create a new payment process - Request - Template based on this Transaction Date and payment date by Date. \"", + "qas": [ + { + "id": "00759", + "is_impossible": false, + "question": "How do you associate a transaction calendar with a payment process request template?", + "answers": [ + { + "text": "Create a new payment process request template or edit an existing one and select the transaction calendar you defined in the Transaction Calendar field.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "7. Open the FinApincompleteInvoiceHold workflow with a double-click. Predefined Incomplete Invoice Routing Rule\nThe FinApIncompleteInvoiceHold task includes a rule set called IncompleteInvoiceRuleSet.", + "qas": [ + { + "id": "00168", + "is_impossible": false, + "question": "What does the FinApIncompleteInvoiceHold task include?", + "answers": [ + { + "text": "The FinApIncompleteInvoiceHold task includes a rule set called IncompleteInvoiceRuleSet. This rule set includes a rule called JobRoleAssignmentRule.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Tip: Before you merge, review invoices for both the old and new supplier to find and resolve duplicate invoices. The merge process doesn't transfer invoices if the merge results in a duplicate invoice for the new supplier. All invoices : This option also transfers invoices, all or partially paid, and paid prepayments. As an alternative, you can complete the payments and apply prepayments before merging.", + "qas": [ + { + "id": "00668", + "is_impossible": false, + "question": "When I merge a supplier, what happens to my invoice?", + "answers": [ + { + "text": "When you perform the Merge Suppliers task, you have the option of transferring all invoices or only unpaid invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Selection criteria, such as invoice business unit, payment business unit, and payment priority determine which installments are selected for payment.", + "qas": [ + { + "id": "00184", + "is_impossible": false, + "question": "What determines which installments are selected for payment?", + "answers": [ + { + "text": "Selection criteria such as invoice business unit, payment business unit, and payment priority.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides a table describing what is stamped on electronic payments when paper document numbering is disabled.", + "qas": [ + { + "id": "00414", + "is_impossible": false, + "question": "What is stamped on electronic payments when paper document numbering is disabled?", + "answers": [ + { + "text": "Only payment reference numbers are stamped on electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The processing options for a payment process request determine the level of automation for that request.", + "qas": [ + { + "id": "01841", + "is_impossible": false, + "question": "What this which levels which computing making another payments step request?", + "answers": [ + { + "text": "The processing options.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The names are different because you're making a third-party payment. The Supplier or Party column displays the invoicing supplier...", + "qas": [ + { + "id": "01463", + "is_impossible": false, + "question": "Why other all these list making Payee well Supplier instead Party before payments pages?", + "answers": [ + { + "text": "You're making a third-party payment.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "For invoices requiring budgetary control, canceling an invoice also reverses the expenditure funds consumed, and for matched invoices, restores the previously obligated funds for the purchase order.", + "qas": [ + { + "id": "00111", + "is_impossible": false, + "question": "What happens if I cancel an invoice?", + "answers": [ + { + "text": "Canceling an invoice sets invoice and installment amounts to zero, reverses invoice distributions, and reverses matches to purchase order schedules and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you set this option and apply bank charges, the payment process request rejects the installments because they might reduce the payment amount less than zero.", + "qas": [ + { + "id": "00742", + "is_impossible": false, + "question": "If you set the 'Apply credits up to zero amount payment' option, what happens?", + "answers": [ + { + "text": "The payment process request rejects the installments because they might reduce the payment amount less than zero.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "\"If the financial category isn't assigned to any natural account values in the chart of accounts the process fails.\"", + "qas": [ + { + "id": "02110", + "is_impossible": false, + "question": "If which Financial Category this be command take accounts values, why happens?", + "answers": [ + { + "text": "The reconciliation process fails.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\nHow Invoices Are Approved\nYou can configure predefined workflows to manage invoice approvals. When the invoice approval process starts, a workflow builds the list of approvers based on the defined rules.", + "qas": [ + { + "id": "01271", + "is_impossible": false, + "question": "How if which 25-cent approved step work?", + "answers": [ + { + "text": "When the invoice approval process starts, a workflow builds the list of approvers based on the defined rules. Approval notifications are sent to the first set of approvers on the list. When the approvers respond, notifications are sent to the next set of approvers. This process repeats until all approvals are complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Based on agreements with your suppliers, you might receive paper invoices at your billing locations or receive images by email.", + "qas": [ + { + "id": "00618", + "is_impossible": false, + "question": "Is it possible to receive invoices from your suppliers?", + "answers": [ + { + "text": "Either as paper invoices at your bill-to locations or as images by email.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can solve this issue by removing access granted to specific business units for the General Ledger job roles and the specific data access sets for the Payables job roles.", + "qas": [ + { + "id": "02104", + "is_impossible": false, + "question": "What able 'll ca take resolving issue and which report?", + "answers": [ + { + "text": "Remove access granted to specific business units for General Ledger job roles, and specific data access sets for Payables job roles.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The business unit for the invoice is different from the business unit for the payment and you don't have access to that invoice business unit...", + "qas": [ + { + "id": "00354", + "is_impossible": false, + "question": "Why do I get a permissions error when I click on an invoice number link from the Manage Payments page?", + "answers": [ + { + "text": "The business unit for the invoice is different from the business unit for the payment and you don't have access to that invoice business unit.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For example, you may decide to take this action when one or more payments exceed a defined limit of sum.", + "qas": [ + { + "id": "01964", + "is_impossible": false, + "question": "Payments however not removing in another payments step request.", + "answers": [ + { + "text": "\"When one or more payments exceeds a defined amount limit.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This is suggested in the \"Reconcile Payments to Bank Statement Activity\" section.", + "qas": [ + { + "id": "01541", + "is_impossible": false, + "question": "How able payment not reluctantly take banks saying activity?", + "answers": [ + { + "text": "In Oracle Fusion Cash Management, ensuring that payments are cleared if accounted for at clearing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that have been transferred to the general ledger.", + "qas": [ + { + "id": "01033", + "is_impossible": false, + "question": "What is the trial balance list?", + "answers": [ + { + "text": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that were transferred to the general ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Failure handling for validation failures for documents: Specifies processing instructions for handling document validation failures.", + "qas": [ + { + "id": "00746", + "is_impossible": false, + "question": "What is the option for validation handling for documents?", + "answers": [ + { + "text": "Processing instructions for handling document validation failures.", + "answer_start": 8 + } + ] + } + ] + }, + { + "context": "\"Processing Early Payment Discounts for Dynamic Offers... discount amounts and payment amounts.\"", + "qas": [ + { + "id": "01317", + "is_impossible": false, + "question": "What option other provided then used interaction offering making create another payment?", + "answers": [ + { + "text": "1. Retrieve the AI data science-driven discount recommendations. 2. Accept or override the AI discount recommendations. 3. The accepted discount rate combined with the days paid early determines the discount and payment amounts.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can also create a template on the Create Payment Process Request Template page and schedule the template to send the payment request later.", + "qas": [ + { + "id": "01830", + "is_impossible": false, + "question": "What able 'll ca and which template?", + "answers": [ + { + "text": "You can create a template and schedule the template to submit the payment process request later.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To derive the budget account, overlay the distribution natural account with the natural account segment value...\"", + "qas": [ + { + "id": "00817", + "is_impossible": false, + "question": "The budget account is derived.", + "answers": [ + { + "text": "Overlaying distribution with cash account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can create invoices via a spreadsheet using the create invoice in spreadsheet task and also submit the import process of the invoice in the spreadsheet.", + "qas": [ + { + "id": "01670", + "is_impossible": false, + "question": "How able 'll using another spreadsheets take creating invoices?", + "answers": [ + { + "text": "You can create invoices through the Create Invoice in Spreadsheet task and then submit the invoice import process from the spreadsheet.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The list of values in the Receipt Field on the Match Invoice Lines page depends on the purchase order you must first enter the purchase order number to see the list of receipts.", + "qas": [ + { + "id": "01788", + "is_impossible": false, + "question": "I can't how another certain withholding take matches a invoice.", + "answers": [ + { + "text": "The list of values in the Receipt field on the Match Invoice Lines page depends on the purchase order. You must first enter the purchase order number to see the list of receipts.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Location: Create Payment Process Profile page. Navigation: Setup and Maintenance > Define Invoicing and Payments Configuration > Define Disbursements > Manage Payment Process Profiles task > Manage Payment Process. Action: From the Default Payment Document choice list, select a default payment document.", + "qas": [ + { + "id": "00408", + "is_impossible": false, + "question": "How can you set up a default payment document for electronic payments?", + "answers": [ + { + "text": "On the Create Payment Process Profile page, select a default payment document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Scanned invoices are arranged in aging buckets. When you click any of the numbers, the invoices are displayed in a table.", + "qas": [ + { + "id": "01694", + "is_impossible": false, + "question": "How other digitized phony arranged?", + "answers": [ + { + "text": "They are arranged in aging buckets.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Assuming the rental expenses are split evenly over the 3 months and the monthly accounting calendar is used.", + "qas": [ + { + "id": "00096", + "is_impossible": false, + "question": "How are the rental expenses split in the scenario?", + "answers": [ + { + "text": "The rental expenses are split evenly over the 3 months.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "You can click the links provided on the Payment File page to access the payment reports...", + "qas": [ + { + "id": "01461", + "is_impossible": false, + "question": "How able I provide payments report before another payments files this generated?", + "answers": [ + { + "text": "Click the links on the Payment File page to access the payment reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text explains SEPA and its benefits.", + "qas": [ + { + "id": "00422", + "is_impossible": false, + "question": "What is SEPA?", + "answers": [ + { + "text": "SEPA is a system that provides a standardized process for credit transfers and a cheaper way for individuals and firms to make transactions within European member countries or regions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments informs the source product that none of the documents payable in the payment process request are being paid.", + "qas": [ + { + "id": "01401", + "is_impossible": false, + "question": "What happen then which payments requested this terminated?", + "answers": [ + { + "text": "None of the documents in the request are paid.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Then immediately create payment files : Creates payment files for the submitted request, instead of waiting to combine payments from other requests into payments files.", + "qas": [ + { + "id": "01845", + "is_impossible": false, + "question": "What if which 'create payments file immediately' options do?", + "answers": [ + { + "text": "Creates payment files for the submitted request instead of waiting to combine payments from other requests into payment files.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "On the Payment and Processing Options tab, you can specify payment attributes and processing options... 8. From the Disbursement Bank Account selection list, search and select BofA-204... 11. Check the processing options box: Check payment installments, Review proposed payments and Create payment files immediately.", + "qas": [ + { + "id": "02028", + "is_impossible": false, + "question": "Payment traits well materials option able not applicable then submit another payments step request.", + "answers": [ + { + "text": "Select the \"Disbursement Bank Account\", \"Payment Process Profile\", \"Payment Conversion Rate Type\", and various processing options.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\u201cUse the Reconciliation Data Purge Frequency profile option to set the number of days to keep reconciliation data.", + "qas": [ + { + "id": "01001", + "is_impossible": false, + "question": "What is the Reconciliation Data Purge Frequency profile used for?", + "answers": [ + { + "text": "To specify the number of days to keep reconciliation data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The processing options for a payment process request determine the level of automation for that request.", + "qas": [ + { + "id": "00741", + "is_impossible": false, + "question": "What is the level of automation for a payment process request?", + "answers": [ + { + "text": "The processing options.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A multi-period invoice has two accounts on the lines and distributions, and the existing expense account or distribution set continues to be used to capture the account that the expenses must be booked on.", + "qas": [ + { + "id": "01732", + "is_impossible": false, + "question": "What this another multiperiod invoice?", + "answers": [ + { + "text": "A multiperiod invoice has two accounts on the lines and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How cash management external transactions are processed Once the external data has been prepared, proceed with the following steps: 1. Click the Generate CSV File button to generate a ZIP file containing the CSV file; 2. Transfer the generated ZIP file to the WebCenter document repository...", + "qas": [ + { + "id": "01075", + "is_impossible": false, + "question": "Data preparation for Cash Management External Transactions Import.", + "answers": [ + { + "text": "Data is manually entered into the External Transactions Import Template or extracted from an external application into a temporary spreadsheet, then transferred into the template. Following this, a ZIP file containing the CSV file is generated and transferred to WebCenter document repository, and the ESS job Load Interface File for Import process is submitted.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "On the Payment Validation error - Resolve page, you can resolve payment validation errors by removing one or more payments with validation errors from the payment process request.", + "qas": [ + { + "id": "01993", + "is_impossible": false, + "question": "Why ca 'll removing payment in which request?", + "answers": [ + { + "text": "To resolve payment validation errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"More payment files might be created than necessary...\"", + "qas": [ + { + "id": "01337", + "is_impossible": false, + "question": "What this another shortcoming which possible payments files creation?", + "answers": [ + { + "text": "More payment files might be created than necessary.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If there are errors during import, the errors can be corrected and re-uploaded using the Correct Import Errors spreadsheet...", + "qas": [ + { + "id": "01626", + "is_impossible": false, + "question": "How able error since which Import External Transactions ESS getting not corrected?", + "answers": [ + { + "text": "Errors can be corrected and re-uploaded using the Correct Import Errors spreadsheet available from the Bank Statement and Reconciliation page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that have been transferred to the general ledger.", + "qas": [ + { + "id": "02133", + "is_impossible": false, + "question": "What this which prosecution putting list?", + "answers": [ + { + "text": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that were transferred to the general ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"The decision of which invoices to pay is made on business needs, such as cash flow and discounts...\"", + "qas": [ + { + "id": "00247", + "is_impossible": false, + "question": "How does the system decide which invoices to pay?", + "answers": [ + { + "text": "Based on business needs like cash flow and discounts, not just payment method.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You must fully pay a prepayment before you can apply it.", + "qas": [ + { + "id": "00073", + "is_impossible": false, + "question": "What must be done to a prepayment before it can be applied?", + "answers": [ + { + "text": "You must fully pay a prepayment before you can apply it.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A alternate method is the sheet that creates a chart of accounts, control, legal entities and business units in a spreadsheet.", + "qas": [ + { + "id": "00552", + "is_impossible": false, + "question": "What is an alternative way to create a document sequence?", + "answers": [ + { + "text": "The Create Chart of Accounts, Ledger, Legal Entities, and Business Units in Spreadsheet task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the document repository of Oracle Web Center Content Management to manually load and import bank statement files.", + "qas": [ + { + "id": "01616", + "is_impossible": false, + "question": "How this Manual Bank Statement File Import conducting into Oracle Web Center?", + "answers": [ + { + "text": "By using the document repository of Oracle Web Center Content Management to manually load and import bank statement files.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Collaboration Messaging Framework (CMK) provides a simplified way to set up B2B communication within the procure-to-pay business flow.", + "qas": [ + { + "id": "01194", + "is_impossible": false, + "question": "What this which roles which which Oracle Fusion Collaboration Messaging Framework (CMK)?", + "answers": [ + { + "text": "CMK provides a simplified way to set up B2B communication within the procure-to-pay business flow.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "Transactions system If the conversion rate is not defined for a specific transaction date, the application searches back to find the closest conversion rate For converting the transaction amount to the bank account amount The application uses the bank conversion rate type (BANK_EXCHANGE_RATE_TYPE) from the bank account that corresponds to the transaction used For converting the transaction amount to the ledger amount the application uses the conversion rate specified for the transaction .", + "qas": [ + { + "id": "02190", + "is_impossible": false, + "question": "How other converting rate manage making systems transactions?", + "answers": [ + { + "text": "If the conversion rate isn't defined for a specific transaction date, the application searches going back up to 1 year to find the closest conversion rate. Various conversion rate types are used for different conversions like from transaction amount to bank account amount, ledger amount, or reporting amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Payables improves security by restricting access to invoices and payments by business unit : Invoices and payments can only be seen or processed for business units that you have permission to do so.", + "qas": [ + { + "id": "00555", + "is_impossible": false, + "question": "How does Oracle Fusion Payables improve invoice and payment security?", + "answers": [ + { + "text": "By limiting access to invoices and payments by business unit and allowing access only to those business units for which a user has permission.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Supposed payments are reviewed before the payment process request is stopped after grouping installments into payments and before building payments.", + "qas": [ + { + "id": "00744", + "is_impossible": false, + "question": "If you choose the 'Review proposed payments' option, when will the payment process request stop?", + "answers": [ + { + "text": "After grouping installments into payments and before building the payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Review invoices assigned sequential voucher numbers.", + "qas": [ + { + "id": "00979", + "is_impossible": false, + "question": "What is the purpose of the audit?", + "answers": [ + { + "text": "To review invoices with assigned sequential voucher numbers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "qas": [ + { + "id": "00100", + "is_impossible": false, + "question": "What's an incomplete invoice?", + "answers": [ + { + "text": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If the bank code is available in Oracle ERP Cloud, but not available in the Zengin file, then those banks and the associated branches will be marked with the prefix 'Deleted'.", + "qas": [ + { + "id": "00507", + "is_impossible": false, + "question": "What happens to banks and branches not available in the Zengin file but present in Oracle ERP Cloud?", + "answers": [ + { + "text": "They will be marked with the prefix 'Deleted'.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Payments enables the selection of documents payable for inclusion in a payment process request.", + "qas": [ + { + "id": "01936", + "is_impossible": false, + "question": "What other which requirement making only document?", + "answers": [ + { + "text": "Assignment of a disbursement bank account and a payment process profile.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The invoice is validated. It's matched with a receipt or purchase order. It's updated with a tax calculation. It is undergoing approval and doesn't have an approval status of required or not required.", + "qas": [ + { + "id": "01762", + "is_impossible": false, + "question": "I can't removing a invoice.", + "answers": [ + { + "text": "You can't cancel an invoice if any of these conditions apply to it. \u0095 Invoice is validated. \u0095 It's matched to a purchase order or receipt. \u0095 It's updated with a tax calculation. \u0095 It's undergoing approval and doesn't have an approval status of Required or Not required.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Open Balance Adds the credits to the liability account, such as invoices and refunds, and subtracts the debits, such as credit memos and payments.", + "qas": [ + { + "id": "00485", + "is_impossible": false, + "question": "How is Open Balance calculated?", + "answers": [ + { + "text": "Adds the credits to the liability account, such as invoices and refunds, and subtracts the debits, such as credit memos and payments.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "Use the FBDI template for Import Payables invoices process to generate invoices from invoice records in the Oracle Fusion Payables open interface tables.", + "qas": [ + { + "id": "00581", + "is_impossible": false, + "question": "Which template should be used for the Import Payables Invoices process?", + "answers": [ + { + "text": "The FBDI template.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "The payment was made to a third party. You can view the third-party payment setup in the Third-Party Payment Relationship section...", + "qas": [ + { + "id": "00350", + "is_impossible": false, + "question": "Why is the payee name on the payment different from the supplier name on the paid invoice?", + "answers": [ + { + "text": "The payment was made to a third party.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Negative balances only Select Yes to limit the report to suppliers with negative balances.", + "qas": [ + { + "id": "02131", + "is_impossible": false, + "question": "What ca 'll really than choosing 'Yes' making Negative Balances Only?", + "answers": [ + { + "text": "Select Yes to limit the report to suppliers with negative balances.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "Predefined Incomplete Invoice Routing Rule The task of FinApIncompleteInvoiceHold includes a rule set called IncompleteInvoiceRuleSet, which includes a rule called JobRoleAssignmentRule, which routes incomplete invoices to users with the roles Accounts Payable Specialist and Accounts Payable Supervisor.", + "qas": [ + { + "id": "00719", + "is_impossible": false, + "question": "Who does the JobRoleAssignmentRule route incomplete invoices to?", + "answers": [ + { + "text": "It routes incomplete invoices to users with the Accounts Payable Specialist and Accounts Payable Supervisor job roles.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Payments are built into the fewest number of payment files without being restricted by what payment process the payments were created in.\"", + "qas": [ + { + "id": "00807", + "is_impossible": false, + "question": "How are the payments grouped?", + "answers": [ + { + "text": "Into the fewest number of files, without limitation from their originating request.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To set up these connections follow the steps described in the AI implementation workflow topic...\"", + "qas": [ + { + "id": "01883", + "is_impossible": false, + "question": "Where able I how which mode step making late payments premium offers?", + "answers": [ + { + "text": "AI Implementation Workflow topic.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "Oracle Imaging retrieves the images from the designated email at scheduled intervals. It groups all invoice images in an email into a batch.", + "qas": [ + { + "id": "00070", + "is_impossible": false, + "question": "What is the role of Oracle Imaging in the process?", + "answers": [ + { + "text": "It retrieves the images from the designated email at scheduled intervals and groups all invoice images in an email into a batch.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Paying Infotile displays the total amount due for invoices in the next days.", + "qas": [ + { + "id": "01699", + "is_impossible": false, + "question": "How short if which \"Payments\" infotile focusing before making result payments?", + "answers": [ + { + "text": "The next days.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "The payee is the party who receives payment. These attributes default on the invoice from the payee setup...", + "qas": [ + { + "id": "01455", + "is_impossible": false, + "question": "What other which change from which payments traits flows then I creating plug-ins payment?", + "answers": [ + { + "text": "These attributes default on the invoice from the payee setup and come from the payee setup when making a payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"The decision of which invoices to pay is made on business needs, such as cash flow and discounts...\"", + "qas": [ + { + "id": "01347", + "is_impossible": false, + "question": "How if which systems deciding the phony take pay?", + "answers": [ + { + "text": "Based on business needs like cash flow and discounts, not just payment method.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When payments are revalidated, any setup changes you made are activated.", + "qas": [ + { + "id": "00303", + "is_impossible": false, + "question": "What happens after changing setups?", + "answers": [ + { + "text": "Any setup changes are activated when payments are revalidated.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For each document payable, Payments selects parameters and calls an API.", + "qas": [ + { + "id": "01391", + "is_impossible": false, + "question": "How this another dead banks accounts derived?", + "answers": [ + { + "text": "Using the CE_BANK_AND_ACCOUNT_UTIL.get_internal_bank_accts API.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Transactions system If the conversion rate is not defined for a specific transaction date, the application searches back to find the closest conversion rate For converting the transaction amount to the bank account amount The application uses the bank conversion rate type (BANK_EXCHANGE_RATE_TYPE) from the bank account that corresponds to the transaction used For converting the transaction amount to the ledger amount the application uses the conversion rate specified for the transaction .", + "qas": [ + { + "id": "01090", + "is_impossible": false, + "question": "How are conversion rates managed for system transactions?", + "answers": [ + { + "text": "If the conversion rate isn't defined for a specific transaction date, the application searches going back up to 1 year to find the closest conversion rate. Various conversion rate types are used for different conversions like from transaction amount to bank account amount, ledger amount, or reporting amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text introduces ISO 20022 as a global standard in the context of financial messages.", + "qas": [ + { + "id": "00420", + "is_impossible": false, + "question": "What is the ISO 20022 standard?", + "answers": [ + { + "text": "ISO 20022 is a global standard for the development of all financial messages.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Paying Infotile displays the total amount due for invoices in the next days.", + "qas": [ + { + "id": "00599", + "is_impossible": false, + "question": "How long does the \"Payments\" infotile focus on for due payments?", + "answers": [ + { + "text": "The next days.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "\"You must assign the financial category of accounts payable to all your liabilities natured accounts values\"", + "qas": [ + { + "id": "01000", + "is_impossible": false, + "question": "When assigning a financial category, what should be done?", + "answers": [ + { + "text": "Assign the financial category of Accounts Payable to all liability natural account values on the Manage Values page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can click the links provided on the Payment File page to access the payment reports. These links give direct access to the Separate Remittance Advice Report, the Positive Pay Report and the Payment File Register Report", + "qas": [ + { + "id": "02024", + "is_impossible": false, + "question": "After generate another payments file, why able I provide which reports?", + "answers": [ + { + "text": "Click the links on the \"Payment File\" page to access the payment reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments informs the source product that none of the documents that are required in the payment process are paid.", + "qas": [ + { + "id": "01951", + "is_impossible": false, + "question": "When another payments requested this terminated, why happens?", + "answers": [ + { + "text": "None of the documents in the request are paid.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you do not implicitly map the primary balance of the segments values to business units, then you must also reconcile based on ledger if you centralize payment processing using the service provider model.", + "qas": [ + { + "id": "00999", + "is_impossible": false, + "question": "When must you reconcile?", + "answers": [ + { + "text": "When primary balancing segment values are not implicitly mapped to business units, or when centralizing payment processing using the service provider model.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You must assign the financial category of Accounts Payable to all of your liability natural account values.\"", + "qas": [ + { + "id": "00450", + "is_impossible": false, + "question": "What must be done when assigning the financial category?", + "answers": [ + { + "text": "Assign the financial category of Accounts Payable to all liability natural account values on the Manage Values page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Disbursement bank accounts and payment process profiles are assigned in a sequence including parameters, defaults, and derived values.", + "qas": [ + { + "id": "00290", + "is_impossible": false, + "question": "How are bank accounts and profiles assigned?", + "answers": [ + { + "text": "Using parameters, defaults from templates, and derived values.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To use this feature you must create and enable the following: 1. Lookup Type: ADD_DUPLICATE_INV_CHECK 2. Lookup Code: DUPLICATE_INVOICE_CHECK", + "qas": [ + { + "id": "00109", + "is_impossible": false, + "question": "How can I find duplicate invoices without considering the invoice number as the only check?", + "answers": [ + { + "text": "When the duplicate invoice check feature is enabled, it performs checks based on the combination of the supplier, invoice type, amount, currency, and date. This check includes all the invoices received and processed from a supplier.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Selection criteria such as invoice business unit, payment business unit and payment priority determine which installments are selected for payment.", + "qas": [ + { + "id": "01834", + "is_impossible": false, + "question": "Which instalments other chosen making payment?", + "answers": [ + { + "text": "Selection criteria such as invoice business unit, payment business unit, and payment priority.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A skipped numbered payment document scenario is where the payment on a payment document is printed with a different number than you intended.", + "qas": [ + { + "id": "00930", + "is_impossible": false, + "question": "A skipped numbered payment document is what it is.", + "answers": [ + { + "text": "A skipped numbered payment document occurs when the payment is printed onto a payment document with a different number than intended.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The incomplete invoices appear in the Scanned information tile on the Invoices landing page.", + "qas": [ + { + "id": "00067", + "is_impossible": false, + "question": "Where do incomplete invoices appear?", + "answers": [ + { + "text": "In the Scanned information tile on the Invoices landing page.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "Specify the business unit or leave blank to include all business units.", + "qas": [ + { + "id": "00478", + "is_impossible": false, + "question": "How can you specify the business unit?", + "answers": [ + { + "text": "Specify the business unit or leave blank to include all business units.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For each payment process request you can specify selection criteria, payment attributes, and processing options.", + "qas": [ + { + "id": "01283", + "is_impossible": false, + "question": "What able 'll specifying making only payments step request?", + "answers": [ + { + "text": "Selection criteria, payment attributes, and processing options.", + "answer_start": 8 + } + ] + } + ] + }, + { + "context": "How invoices are approved You can configure predefined workflows to manage invoice approvals. When the invoice approval process starts, a workflow builds the list of approvers based on the defined rules.", + "qas": [ + { + "id": "00721", + "is_impossible": false, + "question": "How does the invoice approval process work?", + "answers": [ + { + "text": "When the invoice approval process starts, a workflow builds the list of approvers based on the defined rules. Approval notifications are sent to the first set of approvers on the list. When the approvers respond, notifications are sent to the next set of approvers. This process repeats until all approvals are complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "They are calculated as a daily average annual percentage that the supplier and you have agreed to for taking discount offers.\"", + "qas": [ + { + "id": "01861", + "is_impossible": false, + "question": "How other late payments premium offering calculated?", + "answers": [ + { + "text": "They are calculated daily based on the number of days paid early, and the discounts decrease over time depending on the APR agreed upon between the supplier and the buyer.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can use the Apply credits up to zero amount payment option... to offset credit amounts against standard invoices issued by your supplier.\"", + "qas": [ + { + "id": "00281", + "is_impossible": false, + "question": "What does the \"Apply credits up to zero amount payment\" option do?", + "answers": [ + { + "text": "It offsets credit amounts against standard supplier invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To create payment files through a scheduled process, accept the default setting...\"", + "qas": [ + { + "id": "00788", + "is_impossible": false, + "question": "Payment files can be created through a scheduled process.", + "answers": [ + { + "text": "Accept the default setting for \"Create payment files immediately\", then schedule the Create Printed Payment Files and Create Electronic Payment Files processes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The video \"Submitting a Scheduled Process\" is a narrated visual overview of the process.", + "qas": [ + { + "id": "01832", + "is_impossible": false, + "question": "The videos 'Submitting another Scheduled Process' recently many questions.", + "answers": [ + { + "text": "A narrated visual overview of the process.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "A self-billed invoice can be one of the following: \u0095 An invoice that the Pay on Receipt process creates \u0095 A debit memo that a return to supplier transaction creates \u0095 An invoice that the Create Consumption Advice process creates from a consignment agreement that has the Pay on Use option enabled.", + "qas": [ + { + "id": "00134", + "is_impossible": false, + "question": "What's a self-billed invoice?", + "answers": [ + { + "text": "A self-billed invoice can be one of the following: \u0095 An invoice that the Pay on Receipt process creates \u0095 A debit memo that a return to supplier transaction creates \u0095 An invoice that the Create Consumption Advice process creates from a consignment agreement that has the Pay on Use option enabled.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following steps are executed by the automatic reconciliation process: 1. The automatic reconciliation process first completes the reconciliation of the regular transactions using the reconciliation matching rule set...", + "qas": [ + { + "id": "01078", + "is_impossible": false, + "question": "The Automatic Reconciliation process is used to reconcile rejected payments.", + "answers": [ + { + "text": "The process first completes reconciliation of regular transactions, identifies unreconciled reversal statement lines, looks back at 6 months of data to retrieve the original bank statement line, and then unreconciles the original statement line to automatically reconcile the rejected statement line with the original statement line.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Statement ID should be unique in a bank account within a calendar year.", + "qas": [ + { + "id": "00519", + "is_impossible": false, + "question": "What should the Statement ID be for Prior Day Bank Statements?", + "answers": [ + { + "text": "Unique in a bank account within a calendar year.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "\"Rounding differences between the original invoice liability and the total of the payments liability are automatically written off.\"", + "qas": [ + { + "id": "01023", + "is_impossible": false, + "question": "How are the differences handled in invoices?", + "answers": [ + { + "text": "Rounding differences are automatically written off when the final payment or prepayment application is accounted.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Social link on the Review Installments page to invite your manager to a conversation about adding installments to a payment process request...", + "qas": [ + { + "id": "00353", + "is_impossible": false, + "question": "How can I use social networking to get approval for adding installments to a payment process request?", + "answers": [ + { + "text": "Use the Social link on the Review Installments page to invite your manager to a conversation.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The business unit for the invoice is different from the business unit for the payment and you don't have access to that business unit for the invoice...", + "qas": [ + { + "id": "00904", + "is_impossible": false, + "question": "Why do I get a permissions error when I click on the invoice number link?", + "answers": [ + { + "text": "The business unit for the invoice is different from the business unit for the payment and you don't have access to that invoice business unit.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This is different from the expense budgeting where... cash account has sufficient funds before clearing the supplier payment.\"", + "qas": [ + { + "id": "00240", + "is_impossible": false, + "question": "What's the difference between expense budgeting and cash budgeting?", + "answers": [ + { + "text": "Expense budgeting enforces approved limits, while cash budgeting ensures sufficient funds before supplier payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can control the automation level of a payment process request, by setting the following options on the Submission Payment Process Request and the Create Payment Process Request Template pages :", + "qas": [ + { + "id": "01851", + "is_impossible": false, + "question": "How able 'll controlled which levels which automation?", + "answers": [ + { + "text": "By setting options on the Submit Payment Process Request and the Create Payment Process Request Template pages.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The process performs the following tasks: ? Connects to the bank and retrieves the banks statement file ? Processes and loads the bank statement file into the application", + "qas": [ + { + "id": "01615", + "is_impossible": false, + "question": "What task if which Schedule Process Electronic Bank Statement Request perform?", + "answers": [ + { + "text": "It connects to the bank, retrieves the bank statement file, processes, and loads the bank statement file into the application.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text explains that paper document numbers for electronic payments can be sent to the payment system or bank for printing on outsourced checks.", + "qas": [ + { + "id": "00409", + "is_impossible": false, + "question": "What are paper document numbers used for in electronic payments?", + "answers": [ + { + "text": "Paper document numbers are used for electronic payments and can be sent to your payment system or bank to be printed onto outsourced checks.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the paid payments registration to examine the logged financial lines for payments that have been transferred to the general ledger.", + "qas": [ + { + "id": "01043", + "is_impossible": false, + "question": "What is the main use of the payment register?", + "answers": [ + { + "text": "To review accounting lines for payments transferred to the general ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For each automatic reconciliation rule the exceptions are sought in the following order: 1. Ambiguous 2. Date 3. Amount...", + "qas": [ + { + "id": "01080", + "is_impossible": false, + "question": "What order are the exceptions looked for?", + "answers": [ + { + "text": "The order is Ambiguous, Date, and Amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"If business units and balancing segment values aren't intentionally or implicitly mapped, the Payables to Ledger Reconciliation report could display the following unintended results...\"", + "qas": [ + { + "id": "01553", + "is_impossible": false, + "question": "What happen not industry unit well balance segments belief other be fully mapped?", + "answers": [ + { + "text": "The Payables to Ledger Reconciliation report could display unintended results.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payment approval process generates and routes payment approval notifications to approvers. Approvers can", + "qas": [ + { + "id": "00332", + "is_impossible": false, + "question": "What can approvers do from email notifications?", + "answers": [ + { + "text": "Approve or reject payment process requests.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Cross-currency payments are payments in a currency different from the currency on the respective invoices. The accounting process records entries for cross-currency payments in both the invoice currency and the payment currency.", + "qas": [ + { + "id": "01469", + "is_impossible": false, + "question": "How other cross-currency payment excluding making from Oracle Fusion?", + "answers": [ + { + "text": "Cross-currency payments are payments in a different currency than the invoice's. Accounting records entries in both the invoice and payment currencies.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Imaging receives the images from the designated email at scheduled intervals and grouping all invoice images in an email into a batch.", + "qas": [ + { + "id": "00620", + "is_impossible": false, + "question": "What is the role of Oracle in the process?", + "answers": [ + { + "text": "It retrieves the images from the designated email at scheduled intervals and groups all invoice images in an email into a batch.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Cash Management Cash Position Data Import process to upload the cash positioning data from external systems into the Essbase Cash Position Cube.", + "qas": [ + { + "id": "00543", + "is_impossible": false, + "question": "What is the purpose of Cash Management Cash Position Data Import process?", + "answers": [ + { + "text": "To upload the cash positioning data from external systems into the Essbase Cash Position Cube.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "In the selection of Early Payment Invoices list \"Automated Processing of early payment Discounts...\".", + "qas": [ + { + "id": "01868", + "is_impossible": false, + "question": "How ca 'll step late payments purchases before manufacturers agree them?", + "answers": [ + { + "text": "Select all applicable early payment invoices while initiating payments on the Submit Payment Process Request page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You must use the following details when creating a project-related invoice: \u0095 Project Number \u0095 Task Number \u0095 Expenditure Type \u0095 Expenditure Organization", + "qas": [ + { + "id": "00135", + "is_impossible": false, + "question": "What attributes are required in the spreadsheet for project-related invoices?", + "answers": [ + { + "text": "You must use the following details when creating a project-related invoice: \u0095 Project Number \u0095 Task Number \u0095 Expenditure Type \u0095 Expenditure Organization", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "During setup, for payment method setup, you can assign predefined validations or create user-defined validations. For payment formats setup, you can assign predefined validations.", + "qas": [ + { + "id": "01501", + "is_impossible": false, + "question": "How able payments methods well formats mode helping from resolve methodology errors?", + "answers": [ + { + "text": "Assign predefined validations or create user-defined validations during setup.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Refine your selection process by adding business units and currencies to the internal bank account as a selection criteria\"", + "qas": [ + { + "id": "01855", + "is_impossible": false, + "question": "How able 'll making which selected step better?", + "answers": [ + { + "text": "By configuring your payment process file and your internal bank account to filter installments based on business unit, currency, payment method, and ensuring their values match the usage rules defined in the payment process profile.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The bell notification appears when the payment batch stops for a required action or when the payment processing is complete...", + "qas": [ + { + "id": "00360", + "is_impossible": false, + "question": "When do payment status bell notifications appear?", + "answers": [ + { + "text": "The bell notification appears when the payment batch stops for a required action or when the payment processing is complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Warning Status: 1. Review the failed transactions reported in the ValidationErrors.txt log file. 2. Enter or correct the conversion rates for the failed transactions. 3. Resubmit the Cash Position Extraction Job process. 4. Review the status for the Cash Position Data Extraction and the Cash Position Data Transfer processes. 5. Review log files for any further warnings or errors.", + "qas": [ + { + "id": "00538", + "is_impossible": false, + "question": "What actions are recommended when facing a Warning Status in Cash Positioning and Forecasting?", + "answers": [ + { + "text": "Review failed transactions in the ValidationErrors.txt log file, correct the conversion rates, resubmit the Cash Position Extraction Job process, and review the status and log files for further warnings or errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The integrated invoice image recognition solution for Oracle Cloud provides scanned image import, intelligent character recognition and automatic invoice creation.", + "qas": [ + { + "id": "00611", + "is_impossible": false, + "question": "What does the solution do?", + "answers": [ + { + "text": "Scanned image import, intelligent character recognition, and automatic invoice creation.", + "answer_start": 10 + } + ] + } + ] + }, + { + "context": "The source product then unlocks the documents payable and resets their status.", + "qas": [ + { + "id": "00856", + "is_impossible": false, + "question": "After removing payments, what happens to documents?", + "answers": [ + { + "text": "They're unlocked and their status is reset.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Create a new payment process request template... Payment Date and Pay Through Date based on this transaction calendar.\"", + "qas": [ + { + "id": "01309", + "is_impossible": false, + "question": "How able 'll assistant another transactions calendars and another payments step requested template?", + "answers": [ + { + "text": "Create a new payment process request template or edit an existing one and select the transaction calendar you defined in the Transaction Calendar field.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For a price increase correction, create a standard invoice; for a price decrease correction, create a credit or debit memo. Note : A price correction does not change the billed price on a purchase order or consumption advice.", + "qas": [ + { + "id": "00674", + "is_impossible": false, + "question": "What is a price correction?", + "answers": [ + { + "text": "A price correction is a supplier invoice that adjusts the unit price of an invoice that's matched to a purchase order, receipt, or consumption advice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text describes the process of assigning paper document numbering values to electronic formats to generate paper document numbers.", + "qas": [ + { + "id": "00410", + "is_impossible": false, + "question": "How can you generate paper document numbers for electronic payments?", + "answers": [ + { + "text": "You can generate paper document numbers by assigning paper document numbering values, which are check numbers, to electronic formats.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Party Name Enter a party to limit the report to a single supplier or party.", + "qas": [ + { + "id": "00480", + "is_impossible": false, + "question": "How can you limit the report to a single supplier?", + "answers": [ + { + "text": "Enter a party to limit the report to a single supplier or party.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "Liability Account As-of Date Specify the date for the liability account.", + "qas": [ + { + "id": "00479", + "is_impossible": false, + "question": "What is the purpose of Liability Account As-of Date?", + "answers": [ + { + "text": "Specify the date for the liability account.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "Remove one or more documents payable from a payment that's included in the payment process request.", + "qas": [ + { + "id": "00307", + "is_impossible": false, + "question": "How can you address specific document issues within a payment process request?", + "answers": [ + { + "text": "Remove problematic documents payable.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Invoices with the account coding status of Initiated aren't picked for invoice validation due to them being in the process of entering accounting information.", + "qas": [ + { + "id": "00128", + "is_impossible": false, + "question": "Why didn't my invoices get picked up for validation?", + "answers": [ + { + "text": "Invoices with the account coding status of Initiated aren't picked for invoice validation due to them being in the process of entering accounting information.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The first step is to set up a payment process profile that contains all the necessary details to manage the payment process.", + "qas": [ + { + "id": "02022", + "is_impossible": false, + "question": "Why ca I do take creating a ISO Payment Process Profile?", + "answers": [ + { + "text": "ISO is a global standard for financial payment formats and messages, accepted by most banks. There are versions like SEPA for European countries and CGI for non-European countries.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following options affect payment processing: Create Payment Process Request Template page and Submit Payment Process Request page.", + "qas": [ + { + "id": "00289", + "is_impossible": false, + "question": "Where are settings affecting the maximize credits option found?", + "answers": [ + { + "text": "Payment Process Request Template and Submit Payment Process Request pages.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides a table describing what is stamped on electronic payments when paper document numbering is enabled.", + "qas": [ + { + "id": "01513", + "is_impossible": false, + "question": "What this affixed before digital payment then printed documents numbered this enabled?", + "answers": [ + { + "text": "Payment document numbering and payment reference numbers are stamped on electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Banks are identified with the bank code and branches are identified with the branch number.", + "qas": [ + { + "id": "01605", + "is_impossible": false, + "question": "How other bank well smaller believed from it process?", + "answers": [ + { + "text": "Banks are identified with the bank code and branches are identified with the branch number.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To derive the budget account, overlay the distribution account natural account with the natural account segment value of the cash account\"", + "qas": [ + { + "id": "01902", + "is_impossible": false, + "question": "The spending accounts making marinade fund this derived.", + "answers": [ + { + "text": "By overlaying the distribution natural account with the cash account's natural account segment value.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the File Based Data Import (FBDI) template and make payments through Oracle Fusion Cloud.", + "qas": [ + { + "id": "00051", + "is_impossible": false, + "question": "How can you make payments with imported transactions?", + "answers": [ + { + "text": "Through Oracle Fusion Cloud using the File Based Data Import (FBDI) template.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"The decision on which invoices to pay is made on business needs such as cash flow and discounts...\"", + "qas": [ + { + "id": "01897", + "is_impossible": false, + "question": "The systems asks the phony take pay.", + "answers": [ + { + "text": "Based on business needs like cash flow and discounts, not just payment method.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Predefined Incomplete Invoice Routing Rule\nThe FinApIncompleteInvoiceHold task includes a rule set called IncompleteInvoiceRuleSet. This rule set\nincludes a rule called JobRoleAssignmentRule. It routes incomplete invoices to users with the Accounts Payable\nSpecialist and Accounts Payable Supervisor job roles.", + "qas": [ + { + "id": "01269", + "is_impossible": false, + "question": "To who if which JobRoleAssignmentRule highway which incorrect invoices?", + "answers": [ + { + "text": "It routes incomplete invoices to users with the Accounts Payable Specialist and Accounts Payable Supervisor job roles.", + "answer_start": 22 + } + ] + } + ] + }, + { + "context": "Remove one or more payable documents from a payment that is included in the request of payment.", + "qas": [ + { + "id": "00857", + "is_impossible": false, + "question": "Specific document issues can be addressed within a payment process request.", + "answers": [ + { + "text": "Remove problematic documents payable.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This is the budget date for the payment. It\u0092s the same as the payment date.\"", + "qas": [ + { + "id": "01341", + "is_impossible": false, + "question": "What this which Budget Date?", + "answers": [ + { + "text": "It's the same as the payment date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Within each stage, a request can have a different status.\"", + "qas": [ + { + "id": "01299", + "is_impossible": false, + "question": "Can another requested those these referents entire another stage?", + "answers": [ + { + "text": "Yes, within each stage, a request can have a different status.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Invoices with the account coding status of Initiated aren't picked for invoice validation due to them being in the process of entering accounting information.", + "qas": [ + { + "id": "01228", + "is_impossible": false, + "question": "Why didn't your phony getting got down making validation?", + "answers": [ + { + "text": "Invoices with the account coding status of Initiated aren't picked for invoice validation due to them being in the process of entering accounting information.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Standing Offers... based on standing offers,\"", + "qas": [ + { + "id": "00764", + "is_impossible": false, + "question": "What are the standing offers?", + "answers": [ + { + "text": "They are a set of criteria for recurring offers over an agreed time period.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text specifies that payment reference numbers are transmitted to the payment system or bank.", + "qas": [ + { + "id": "00962", + "is_impossible": false, + "question": "Payment reference numbers are transmitted.", + "answers": [ + { + "text": "Payment reference numbers are transmitted to your payment system or bank.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Automated Processing of Early Payment Discounts... options in the Select Early Payment Invoices list.\"", + "qas": [ + { + "id": "00218", + "is_impossible": false, + "question": "How can you process early payment discounts after suppliers accept them?", + "answers": [ + { + "text": "Select all applicable early payment invoices while initiating payments on the Submit Payment Process Request page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you set this option and apply bank charges, the payment process request rejects the installments because they might reduce the payment amount less than zero.", + "qas": [ + { + "id": "01842", + "is_impossible": false, + "question": "If 'll sets which 'Apply outstanding down take mean amounts payment' option, why happens?", + "answers": [ + { + "text": "The payment process request rejects the installments because they might reduce the payment amount less than zero.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "Validation failure handling for documents: Specifies processing instructions for handling document validation failures.", + "qas": [ + { + "id": "00196", + "is_impossible": false, + "question": "What does the 'Validation failure handling for documents' option specify?", + "answers": [ + { + "text": "Processing instructions for handling document validation failures.", + "answer_start": 6 + } + ] + } + ] + }, + { + "context": "Payments selects parameters for each payable document and calls an API.", + "qas": [ + { + "id": "00841", + "is_impossible": false, + "question": "A missing bank account is derived.", + "answers": [ + { + "text": "Using the CE_BANK_AND_ACCOUNT_UTIL.get_internal_bank_accts API.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can cancel multiple invoices at the same time by using the Cancel Invoice action.", + "qas": [ + { + "id": "01244", + "is_impossible": false, + "question": "How able I postpone types invoices?", + "answers": [ + { + "text": "You can cancel multiple invoices at the same time by using the Cancel Invoice action.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"The discounts decrease over time, depending on the annual percentage rate (APR) that the supplier and you have agreed upon for taking discounts.\"", + "qas": [ + { + "id": "01320", + "is_impossible": false, + "question": "How other which purchases from which Payables Early Payment Offers features determine while time?", + "answers": [ + { + "text": "The discounts decrease over time, based on the annual percentage rate (APR) agreed upon between the supplier and the buyer.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "During setup, for payment method setup you can assign predefined validations or create user-defined validations, for payment formats setup you can assign predefined validations.", + "qas": [ + { + "id": "02051", + "is_impossible": false, + "question": "Payment methods well formats mode able helping resolving methodology errors.", + "answers": [ + { + "text": "Assign predefined validations or create user-defined validations during setup.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "On the summary of the report, the payables end balance and commence balance amounts only include validated transactions, unvalidated transactions are included in the beta of payables.", + "qas": [ + { + "id": "02124", + "is_impossible": false, + "question": "What this including from which reports summary?", + "answers": [ + { + "text": "Unvalidated transactions.", + "answer_start": 18 + } + ] + } + ] + }, + { + "context": "Various reasons are listed under the section of \"Differences Between Summary and Detail Amounts\".", + "qas": [ + { + "id": "02121", + "is_impossible": false, + "question": "There other inconsistencies in 0800 well details amount from which peace report.", + "answers": [ + { + "text": "Data modification after running the preparation process, accounting activities in the subledger or general ledger after running the preparation process, and security rules restricting data view.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Run the Apply Missing Conversion Rates process when the Require conversion rate entry option on the Manage Common Options for Payables and Procurement page is disabled.", + "qas": [ + { + "id": "00367", + "is_impossible": false, + "question": "What should I do if the \"Require conversion rate\" entry option is disabled but I have missing conversion rates?", + "answers": [ + { + "text": "Run the \"Apply Missing Conversion Rates\" process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can save skipped numbered payment documents for a future single payment, save them for a manual payment or destroy the paper document and void it in Oracle Fusion Cash Management on the Edit Bank Account page.", + "qas": [ + { + "id": "02043", + "is_impossible": false, + "question": "Is this possibility take saving another skipping payments documents making change use?", + "answers": [ + { + "text": "Yes, you can save it for a future single payment, a manual payment, or destroy it and void it in Oracle Fusion Cash Management.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Exceptions are classified as the following: \u0095 Ambiguous: This exception occurs when either there is more than one application transactions that could match to the line or the transaction could match to more than one statement line...", + "qas": [ + { + "id": "00529", + "is_impossible": false, + "question": "What types of reconciliation exceptions are there?", + "answers": [ + { + "text": "The types are Ambiguous, Date, and Amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Centralized payment processing enables you to implement a shared payment service model.", + "qas": [ + { + "id": "00324", + "is_impossible": false, + "question": "What does centralized payment processing enable?", + "answers": [ + { + "text": "Implement a shared payment service model.", + "answer_start": 6 + } + ] + } + ] + }, + { + "context": "Remaining amount Nets credits and debits credited to the liability account for the invoice with an accounting date before or on the liability account date.", + "qas": [ + { + "id": "01040", + "is_impossible": false, + "question": "How is the remaining amount calculated?", + "answers": [ + { + "text": "Nets credits and debits booked to the liability account for the invoice, with an accounting date before or on the liability account date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A spoiled payment document can't be used. Blank payment documents don't have the document or check number already printed on them.", + "qas": [ + { + "id": "00383", + "is_impossible": false, + "question": "What is a spoiled blank payment document?", + "answers": [ + { + "text": "A spoiled blank payment document is a ruined payment document that cannot be used, and it doesn't have the document or check number already printed on it.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Create Workflow Rules Using a Spreadsheet The Simplified Workflow Rules Configuration feature is a spreadsheet-based alternative to creating rules in Oracle Business Process Management (BPM ) Use this feature to create workflow rules for Payables Invoice Approval and General Ledger Journal Approval workflows. You can download the spreadsheet templates from the Manage Workflow Rules in Spreadsheet page to create and manage rules according to your approval policies.", + "qas": [ + { + "id": "01827", + "is_impossible": false, + "question": "Where able I getting which spreadsheets template take creating well managed rules?", + "answers": [ + { + "text": "You can download the spreadsheet templates from the Manage Workflow Rules in Spreadsheet page.", + "answer_start": 42 + } + ] + } + ] + }, + { + "context": "Additional reasons you can't cancel an invoice are as follows: You applied a prepayment to the invoice; Canceling the invoice reduces the billed quantity to less than zero on the purchase order. For partially paid invoices you can create a credit memo and reconcile it with the invoice to turn this invoice into a fully paid invoice.", + "qas": [ + { + "id": "01760", + "is_impossible": false, + "question": "I can't postpone a invoice.", + "answers": [ + { + "text": "The invoice is: \u0095 Fully or partially paid \u0095 On hold \u0095 Selected for payment \u0095 Matched to a purchase order with a status of Finally closed \u0095 Already canceled \u0095 Corrected by a credit or debit memo", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A invoice or credit memo matching to a purchase order increases the billed amount on the purchase order without compensating the invoice price variance for the amount previously billed.", + "qas": [ + { + "id": "01769", + "is_impossible": false, + "question": "What this which mean in another prices adjustment well matched another sale order?", + "answers": [ + { + "text": "A price correction offsets the invoice price variance for the amount previously billed without adjusting the billed quantity on the purchase order.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A self-service invoice is an invoice that a supplier enters through Oracle Fusion Supplier Portal. Whether the supplier matches the invoice to a purchase order or consumption advice determines the resulting invoice type in Oracle Fusion Payables. A matched invoice becomes an invoice request, which must be approved using the invoice approval workflow.", + "qas": [ + { + "id": "00647", + "is_impossible": false, + "question": "What is a self-service invoice?", + "answers": [ + { + "text": "A self-service invoice is an invoice that a supplier enters through Oracle Fusion Supplier Portal. Whether the supplier matches the invoice to a purchase order or consumption advice determines the resulting invoice type in Oracle Fusion Payables. A matched invoice becomes a standard invoice or credit memo. An unmatched invoice becomes an invoice request, which must be approved using the Invoice Approval workflow. Once approved, the invoice request then becomes a standard invoice or credit memo.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Allow prepayment application option indicates that the prepayment is available for application and classifies the prepayment as temporary.", + "qas": [ + { + "id": "01175", + "is_impossible": false, + "question": "How ca 'll making another drop-out provided making applications from Oracle Fusion Payables?", + "answers": [ + { + "text": "By selecting the Allow prepayment application option.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can save skipped numbered payment documents for a future single payment, save them for a manual payment or destroy the paper document and void it in Oracle Fusion Cash Management on the Edit Bank Account page.", + "qas": [ + { + "id": "00943", + "is_impossible": false, + "question": "Is it possible to save a skipped payment document for future use?", + "answers": [ + { + "text": "Yes, you can save it for a future single payment, a manual payment, or destroy it and void it in Oracle Fusion Cash Management.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Required Setup for Early Payment Discount Offers... Getting Started with Your Financials Implementation guide.\"", + "qas": [ + { + "id": "01316", + "is_impossible": false, + "question": "What mode this require making Early Payment Discount Offers?", + "answers": [ + { + "text": "You must set up connections that integrate with AI Apps for ERP.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Apply Missing Conversion Rates process uses conversion rate information from the Manage Daily Rates page to apply the conversion rates. The next time you validate the invoice, the No rate hold is automatically removed.", + "qas": [ + { + "id": "00368", + "is_impossible": false, + "question": "How are missing conversion rates applied to invoices in Oracle Fusion?", + "answers": [ + { + "text": "The \"Apply Missing Conversion Rates\" process uses conversion rate information from the \"Manage Daily Rates\" page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Party Original System Reference is a unique identifier for the party in the source application.", + "qas": [ + { + "id": "00188", + "is_impossible": false, + "question": "What is the Party Original System Reference?", + "answers": [ + { + "text": "A unique identifier for the party in the source application.", + "answer_start": 6 + } + ] + } + ] + }, + { + "context": "Specify the ledger. You can select a primary or secondary ledger, or a reporting currency ledger.", + "qas": [ + { + "id": "01575", + "is_impossible": false, + "question": "What dodgy able not specified?", + "answers": [ + { + "text": "You can select a primary or secondary ledger, or a reporting currency ledger.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "\"Standing offers use a combination of AI recommendations with manual overrides...\"", + "qas": [ + { + "id": "00780", + "is_impossible": false, + "question": "How do standing offers use technology?", + "answers": [ + { + "text": "They combine AI recommendations with manual overrides.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To create payment files immediately, select the Create payment files immediately option...\"", + "qas": [ + { + "id": "00259", + "is_impossible": false, + "question": "How to enable immediate payment file creation?", + "answers": [ + { + "text": "Select \"Create payment files immediately\".", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To ensure that you have the most recent suppliers and purchase orders on your test platform, request a P2T\n(Production-to-Test) environment refresh. Refer to Oracle Applications Cloud Service Definition - Environment\nRefresh (Doc ID 2015788.1) for instructions. Note: A P2T refresh request can take up to 3 weeks to complete.", + "qas": [ + { + "id": "01258", + "is_impossible": false, + "question": "How short able another P2T synchronize requested take?", + "answers": [ + { + "text": "A P2T refresh request can take up to 3 weeks to complete.", + "answer_start": 37 + } + ] + } + ] + }, + { + "context": "\nHow Invoices Are Approved\nYou can configure predefined workflows to manage invoice approvals.", + "qas": [ + { + "id": "01270", + "is_impossible": false, + "question": "How able 25-cent expedited not managed?", + "answers": [ + { + "text": "You can configure predefined workflows to manage invoice approvals.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "If the bank code is available in Oracle ERP Cloud, but not in the Zengin file, then these banks and associated branches will be marked with the prefix 'Deleted'.", + "qas": [ + { + "id": "01057", + "is_impossible": false, + "question": "What happens to banks and branches that are not in the Zengin file?", + "answers": [ + { + "text": "They will be marked with the prefix 'Deleted'.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Click the Terminate Payment Process button to terminate a payment process request.", + "qas": [ + { + "id": "01950", + "is_impossible": false, + "question": "How able 'll stopping which payments process?", + "answers": [ + { + "text": "Use the Terminate Payment Process button.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Prepayments categorize available prepayment that can be applied to invoices.", + "qas": [ + { + "id": "00048", + "is_impossible": false, + "question": ". What do the prepayments in the \"Prepayments\" infotile represent?", + "answers": [ + { + "text": "Available prepayment that can be applied to invoices.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "Payee is the party who receives payment, these attributes default from the payment setup on the invoice.", + "qas": [ + { + "id": "00905", + "is_impossible": false, + "question": "When I create third-party payment, what are the changes in the payment attributes flow?", + "answers": [ + { + "text": "These attributes default on the invoice from the payee setup and come from the payee setup when making a payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can also pay a prepayment in a currency that is different from the invoice currency and must ensure that both the invoice and the prepayment are the same invoice currency.", + "qas": [ + { + "id": "00630", + "is_impossible": false, + "question": "Is it possible to use different currencies for invoice and prepayment?", + "answers": [ + { + "text": "Both the invoice and the prepayment must have the same invoice currency.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Payables Open Items Revaluation Report lists changes in the value of open items, such as unpaid invoices and credit memos, due to conversion rate fluctuations.", + "qas": [ + { + "id": "01047", + "is_impossible": false, + "question": "What is the list of open items?", + "answers": [ + { + "text": "Changes in the value of open items due to conversion rate fluctuations.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This is suggested in the section \"Reconcile payments to the bank statement activity\".", + "qas": [ + { + "id": "02091", + "is_impossible": false, + "question": "Payments able not reluctantly and banks saying activity.", + "answers": [ + { + "text": "In Oracle Fusion Cash Management, ensuring that payments are cleared if accounted for at clearing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A multi-period invoice has two accounts on the lines and distributions, and the existing expense account or distribution set continues to be used to capture the account that the expenses must be booked on.", + "qas": [ + { + "id": "00632", + "is_impossible": false, + "question": "What is a multiperiod invoice?", + "answers": [ + { + "text": "A multiperiod invoice has two accounts on the lines and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A prepayment invoice can be paid partially but it can't be applied to standard invoice or expense report. In order for you to apply a prepayment to a standard invoice or expense report it must be fully paid. Until it's fully paid, the status of the prepayment remains as unpaid.", + "qas": [ + { + "id": "00120", + "is_impossible": false, + "question": "Why did the status of a prepayment invoice be displayed as unpaid?", + "answers": [ + { + "text": "Though prepayment is paid partially the status is shown as unpaid on the invoice workbench. This is intended behavior.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This option is applicable only when the total credit amount for a payment process request is greater than the total standard invoice amount.\"", + "qas": [ + { + "id": "00282", + "is_impossible": false, + "question": "When is the \"Apply credits up to zero amount payment\" option applicable?", + "answers": [ + { + "text": "When the total credit amount is greater than the total standard invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"These discount offers are calculated each day... APR that the supplier and you have agreed upon for taking discounts.\"", + "qas": [ + { + "id": "00211", + "is_impossible": false, + "question": "How are early payment discount offers calculated?", + "answers": [ + { + "text": "They are calculated daily based on the number of days paid early, and the discounts decrease over time depending on the APR agreed upon between the supplier and the buyer.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Oracle Financials Cloud uses AI models to provide discount recommendations for single payments.\"", + "qas": [ + { + "id": "00231", + "is_impossible": false, + "question": "How does Oracle Financials Cloud assist in discounting?", + "answers": [ + { + "text": "Uses AI for discount recommendations.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Ideally the payables transactional amounts and the accounted amounts on the report summary should be the same.\"", + "qas": [ + { + "id": "01567", + "is_impossible": false, + "question": "What must not which relationships in crotchets journaling well excluding amounts?", + "answers": [ + { + "text": "They should be the same.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can create a Payment Process Request (PPR) template by selecting a specific source, so that One Time Payments can be processed separately.", + "qas": [ + { + "id": "00056", + "is_impossible": false, + "question": "How can One Time Payments be processed?", + "answers": [ + { + "text": "By creating a Payment Process Request (PPR) template by selecting a specific source.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payment business unit groups standard invoices, prepayments, and credit memos for the same supplier name and site.", + "qas": [ + { + "id": "00342", + "is_impossible": false, + "question": "How are payments grouped in centralized processing?", + "answers": [ + { + "text": "By supplier name and site.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "At the time of creating a project-related invoice, you must use the following data: project number, task number, expenditure type, expenditure organisation", + "qas": [ + { + "id": "01749", + "is_impossible": false, + "question": "What traits other require making project-related invoices?", + "answers": [ + { + "text": "You must use the following details when creating a project-related invoice: Project Number, Task Number, Expenditure Type, Expenditure Organization.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Before running this report, the following steps will be taken Validate invoices to reduce the number of unvalidated invoices on the report Create payables accounting entries If you use payables, submit the Check Accounts for the Status Update method.", + "qas": [ + { + "id": "02150", + "is_impossible": false, + "question": "How must which Payables Unaccounted Transactions well Sweep Report not run?", + "answers": [ + { + "text": "Validate invoices, create payables accounting entries, and if using bills payables, submit the Update Matured Bills Payable Status process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Consider enabling this option for spontaneous payment...", + "qas": [ + { + "id": "00786", + "is_impossible": false, + "question": "Why would you allow immediate payment file creation?", + "answers": [ + { + "text": "For spontaneous payment runs without waiting for a scheduled process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can click the links provided on the Payment File page to access the payment reports...", + "qas": [ + { + "id": "00361", + "is_impossible": false, + "question": "How can I access payment reports after a payment file is generated?", + "answers": [ + { + "text": "Click the links on the Payment File page to access the payment reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Payables improves security by limiting access to invoices and payments by business unit. You can access invoices and payments for viewing or processing only for the business units to which you have permission.", + "qas": [ + { + "id": "01117", + "is_impossible": false, + "question": "How if Oracle Fusion Payables strengthen 25-cent well payments security?", + "answers": [ + { + "text": "By limiting access to invoices and payments by business unit and allowing access only to those business units for which a user has permission.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A multiperiod invoice has two accounts on the lines and distributions. The existing expense account or distribution set continues to be used to capture the account that the expenses have to be booked.", + "qas": [ + { + "id": "01182", + "is_impossible": false, + "question": "What this another multiperiod 25-cent characterised by?", + "answers": [ + { + "text": "A multiperiod invoice has two accounts on the lines and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": " This is the budget date for the payment ; it is the same as the payment date. ", + "qas": [ + { + "id": "01891", + "is_impossible": false, + "question": "The spending dates this unknown.", + "answers": [ + { + "text": "It's the same as the payment date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Create the payment requests by completing the following steps: 1. Prepare the data using the predefined XLSM template. 2. Generate the CSV file. 3. Transfer the data. 4. Load and import the data. 5. Reload the corrected data as necessary.", + "qas": [ + { + "id": "01710", + "is_impossible": false, + "question": "What other which step take making another payment?", + "answers": [ + { + "text": "1. Prepare the data using the predefined XLSM template. 2. Generate the CSV file. 3. Transfer the data. 4. Load and import the data. 5. Reload the corrected data as necessary.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "\"The process must run successfully for the most current summary information and before you can run the Payables to Ledger Reconciliation Report.\"", + "qas": [ + { + "id": "01556", + "is_impossible": false, + "question": "When must which Prepare Payables take General Ledger Reconciliation step not run?", + "answers": [ + { + "text": "Before running the Payables to Ledger Reconciliation Report and for the most current summary information.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To set up these connections, follow the steps described in the AI Implementation Workflow topic...\"", + "qas": [ + { + "id": "00233", + "is_impossible": false, + "question": "Where can you find setup steps for Early Payment Discount Offers?", + "answers": [ + { + "text": "AI Implementation Workflow topic.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "The text provides examples of mandatory grouping options and their mappings to ISO 20022 elements.", + "qas": [ + { + "id": "00976", + "is_impossible": false, + "question": "What are some examples of mandatory grouping options?", + "answers": [ + { + "text": "Examples include payment date mapped to requested execution date, and disbursement bank account mapped to debtor account, debtor, and debtor agent.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors by removing one or more documents payable from a payment.", + "qas": [ + { + "id": "00298", + "is_impossible": false, + "question": "How can you handle documents with validation errors?", + "answers": [ + { + "text": "Remove them from the payment process request.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payee is the party who receives payment. Whether the payee is a third-party or the invoicing supplier, validations on payee attributes perform the same way.", + "qas": [ + { + "id": "01457", + "is_impossible": false, + "question": "What happen take payments subject-specific then I creating another plug-ins payment?", + "answers": [ + { + "text": "Validations on payee attributes perform the same way.", + "answer_start": 18 + } + ] + } + ] + }, + { + "context": "\"Summary Option: Select the level of invoice information to report.\"", + "qas": [ + { + "id": "01538", + "is_impossible": false, + "question": "What if which Summary Option formula_4 ca from which Payables Cash Requirement Report?", + "answers": [ + { + "text": "It determines the level of invoice information to report, either listing unpaid or partially paid invoices, or just listing the payment amount due.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A third-party payment is a payment that you make to a supplier on behalf of another supplier. An office supply company sells their receivables to a collections agency for cash...", + "qas": [ + { + "id": "01449", + "is_impossible": false, + "question": "What's another plug-ins payment?", + "answers": [ + { + "text": "A third-party payment is a payment that you make to a supplier on behalf of another supplier.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you choose not to reprint, mark the numbered payment document as spoiled on the Record Print Status page and then destroy the paper document.", + "qas": [ + { + "id": "01494", + "is_impossible": false, + "question": "What must I ca and which printed documents which another lucky payment?", + "answers": [ + { + "text": "Destroy the paper document.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "You must fully pay a prepayment before you can apply it.", + "qas": [ + { + "id": "01173", + "is_impossible": false, + "question": "What should not doing take another drop-out after this able not applied?", + "answers": [ + { + "text": "You must fully pay a prepayment before you can apply it.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can designate a prepayment as inclusive by selecting the Included on Invoice option when applying the prepayment.", + "qas": [ + { + "id": "01178", + "is_impossible": false, + "question": "How able 'll prime another drop-out also inclusive?", + "answers": [ + { + "text": "By selecting the Included on Invoice option when applying the prepayment.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "When this action is taken, Payments removes the payment and associated documents from the Payment Process Request.", + "qas": [ + { + "id": "01965", + "is_impossible": false, + "question": "When payment other removed, why happen take which documents?", + "answers": [ + { + "text": "\"Payments removes the payment and associated documents payable from the payment process request.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Specify payment details with attributes such as the date and payment process profile.", + "qas": [ + { + "id": "01840", + "is_impossible": false, + "question": "What other which payments attributes?", + "answers": [ + { + "text": "Payment details with attributes, such as payment date and payment process profile.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "In the Separate Remittance Advice section, from the Format choice list, choose Separate Remittance Advice Format 28. Select these check boxes: Automatically submit when payments are confirmed and Allow multiple copies for the payment file 29. Select all payments from the Condition choice list 30. Select delivery method e-mail list 31. Click Save and Close.", + "qas": [ + { + "id": "00925", + "is_impossible": false, + "question": "Is there a way to set up a separate remittance advice section?", + "answers": [ + { + "text": "Choose \"Separate Remittance Advice Format\" from the Format choice list, select the check boxes for \"Automatically submit when payments are confirmed\" and \"Allow multiple copies for payment file\", set the Condition to \"All payments\", and the Delivery Method to \"E-Mail\". Then save your changes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Scanned invoices are arranged in aging buckets, when you click any of the numbers those invoices are displayed in a table.", + "qas": [ + { + "id": "00044", + "is_impossible": false, + "question": "How are scanned invoices arranged for viewing?", + "answers": [ + { + "text": "They are arranged in aging buckets.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When payments are revalidated, any setup changes you made are activated.", + "qas": [ + { + "id": "01403", + "is_impossible": false, + "question": "What happen before change setups?", + "answers": [ + { + "text": "Any setup changes are activated when payments are revalidated.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Cash Management Data Positioning and Forecasting provides solutions to accurately report cash balances and position, which enables managers to make cash flows decisions such as investing and borrowing in a timely manner.", + "qas": [ + { + "id": "02185", + "is_impossible": false, + "question": "What this which purposes which Cash Management?", + "answers": [ + { + "text": "To accurately report cash balances and position, enabling managers to make timely cash flows decisions like investing and borrowing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the File Based Data Import (FBDI) template and make payments via Oracle Fusion Cloud", + "qas": [ + { + "id": "01701", + "is_impossible": false, + "question": "Is this possibility take making payment and exported transactions?", + "answers": [ + { + "text": "Through Oracle Fusion Cloud using the File Based Data Import (FBDI) template.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the FBDI template for the import payment invoices process to create invoices from invoice records in open interface tables Oracle Fusion Payables.", + "qas": [ + { + "id": "00571", + "is_impossible": false, + "question": "Which template should be used for the Import Payables Invoices process?", + "answers": [ + { + "text": "The FBDI template.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "If you set this option and bank charges apply, the payment process request rejects the installments because they might reduce the payment amount less than zero.", + "qas": [ + { + "id": "00192", + "is_impossible": false, + "question": "What happens if you set the 'Apply credits up to zero amount payment' option and bank charges apply?", + "answers": [ + { + "text": "The payment process request rejects the installments because they might reduce the payment amount less than zero.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "Use the File Based Data Import (FBDI) template and make payments through Oracle Fusion Cloud.", + "qas": [ + { + "id": "01151", + "is_impossible": false, + "question": "How able 'll making payment and exported transactions?", + "answers": [ + { + "text": "Through Oracle Fusion Cloud using the File Based Data Import (FBDI) template.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payment business unit groups standard invoices, prepayments, and credit memos for the same supplier name and site.", + "qas": [ + { + "id": "01442", + "is_impossible": false, + "question": "How other payment consist from centralised processing?", + "answers": [ + { + "text": "By supplier name and site.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Described in the \"Open the Next Payables Period, Run Interface Processes, and Run Reports\" section.", + "qas": [ + { + "id": "00445", + "is_impossible": false, + "question": "What should be done after opening the next Payables period?", + "answers": [ + { + "text": "Run Payables interface processes and various tax and withholding tax reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If a prepayment is matched to a purchase order, the purchases ordered quantities are updated during the prepayment application.", + "qas": [ + { + "id": "00629", + "is_impossible": false, + "question": "When a prepayment is applied to a purchase order, what changes occur?", + "answers": [ + { + "text": "Purchase order quantities are updated during prepayment application.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Any errors during import can be corrected and re-uploaded using the correct import errors spreadsheet...", + "qas": [ + { + "id": "02176", + "is_impossible": false, + "question": "How able error not corrected?", + "answers": [ + { + "text": "Errors can be corrected and re-uploaded using the Correct Import Errors spreadsheet available from the Bank Statement and Reconciliation page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Party Original System Reference is a unique identifier for the party in the source application.", + "qas": [ + { + "id": "01288", + "is_impossible": false, + "question": "What this which Party Original System Reference?", + "answers": [ + { + "text": "A unique identifier for the party in the source application.", + "answer_start": 6 + } + ] + } + ] + }, + { + "context": "The default setting includes all pay groups, but you can specify one or more pay groups.", + "qas": [ + { + "id": "01836", + "is_impossible": false, + "question": "What this which defaults set making paying groups?", + "answers": [ + { + "text": "The default setting includes all pay groups.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To create payment files immediately, select the option to create payment files immediately...\"", + "qas": [ + { + "id": "01909", + "is_impossible": false, + "question": "How take allowing possible payments files creation?", + "answers": [ + { + "text": "Select \"Create payment files immediately\".", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can use the Payables Invoice Register to review detailed information about invoices.\"", + "qas": [ + { + "id": "00433", + "is_impossible": false, + "question": "What report can be used to review detailed information about invoices?", + "answers": [ + { + "text": "Payables Invoice Register.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "Imaging specialists can check for quality and proper formatting for images sent by email.", + "qas": [ + { + "id": "00069", + "is_impossible": false, + "question": "What can imaging specialists check for in the images sent by email?", + "answers": [ + { + "text": "Quality and proper formatting.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that were transferred to the general ledger.", + "qas": [ + { + "id": "01583", + "is_impossible": false, + "question": "What if which prosecution putting lists well subtotal?", + "answers": [ + { + "text": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that were transferred to the general ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use this report to forecast immediate cash needs for the payment of invoices.", + "qas": [ + { + "id": "00985", + "is_impossible": false, + "question": "What is the purpose of the report?", + "answers": [ + { + "text": "To forecast immediate cash needs for invoice payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Cash Positioning and Forecasting Solution Components The following is used to create the cash position and forecast : Essbase cube: This component contains the actual transaction data sources such as AP payments, AR receipts, and payroll \u2013 payments... SMART View and Excel: Are created to allow the extraction of data from the various sources before transferring them to the Essbase cube.", + "qas": [ + { + "id": "02191", + "is_impossible": false, + "question": "What component other using take forecasts well creating money position?", + "answers": [ + { + "text": "Essbase cube, SMART View and Excel, Interface tables, ADF User Interface, and ESS Job are used.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Standing offers use a combination of AI recommendations with manual overrides...\"", + "qas": [ + { + "id": "00230", + "is_impossible": false, + "question": "How do Standing Offers use AI?", + "answers": [ + { + "text": "They combine AI recommendations with manual overrides.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When Payment approval is enabled all payment process requests go through the payment approval process.", + "qas": [ + { + "id": "01980", + "is_impossible": false, + "question": "When payments approved this enabled, why happens?", + "answers": [ + { + "text": "Payments go through the payment approval process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides a definition and purpose of a credit transfer message.", + "qas": [ + { + "id": "02069", + "is_impossible": false, + "question": "A loans transfers messages this why this is.", + "answers": [ + { + "text": "A credit transfer message is a payment initiation format sent by an initiating party to a forwarding agent or debtor agent to request the movement of funds from a debtor account to a creditor.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When you apply a prepayment, the invoice is updated to reflect the amount paid and the prepayment amount available for application is reduced.", + "qas": [ + { + "id": "01177", + "is_impossible": false, + "question": "What happen take which 25-cent before apply another prepayment?", + "answers": [ + { + "text": "The invoice is updated to reflect the amount paid and the prepayment amount available for application is reduced.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "Explained under the section \"Differences Between the Reconciliation Report and Other Payables Reports\"", + "qas": [ + { + "id": "01022", + "is_impossible": false, + "question": "Data on the Payables to Ledger Reconciliation report might be different from other Payables reports.", + "answers": [ + { + "text": "Differences in the inclusion of intercompany transactions and the date ranges used for the reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An example of a temporary payment is a catering deposit to a hotel.", + "qas": [ + { + "id": "01726", + "is_impossible": false, + "question": "What this a instance which prepayment?", + "answers": [ + { + "text": "A catering deposit to a hotel.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "A positive number corresponds to an outstanding balance and a negative number represents an overpayment to the supplier.", + "qas": [ + { + "id": "01586", + "is_impossible": false, + "question": "What if another negative well positive numbers from Open Balance represent?", + "answers": [ + { + "text": "A positive number corresponds to an outstanding balance and a negative number represents an overpayment to the supplier.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Payments are built into the fewest number of payment files...\"", + "qas": [ + { + "id": "00239", + "is_impossible": false, + "question": "What's a benefit of scheduled payment file creation?", + "answers": [ + { + "text": "Payments are built into fewer files, irrespective of the originating payment process request.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You must use the following details when creating a project-related invoice: Project Number, Task Number, Expenditure Type, Expenditure Organization.", + "qas": [ + { + "id": "00099", + "is_impossible": false, + "question": "What attributes are required in the spreadsheet for project-related invoices?", + "answers": [ + { + "text": "You must use the following details when creating a project-related invoice: Project Number, Task Number, Expenditure Type, Expenditure Organization.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can run this report from the Reports and Analytics work area.\"", + "qas": [ + { + "id": "00430", + "is_impossible": false, + "question": "Where can you run the Payables Invoice Audit by Voucher Number Listing report?", + "answers": [ + { + "text": "From the Reports and Analytics work area.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "With the task Manage Payables Document Sequences you can make a document sequence for the relevant determinant type: ledger or legal entity, assign the sequence to one or more document sequence categories, and specify the ledgers or legal entities that applies to the assignment.", + "qas": [ + { + "id": "00554", + "is_impossible": false, + "question": "What functions are provided by the Manage Payables Document Sequences task?", + "answers": [ + { + "text": "Create a document sequence for ledger or legal entity, assign the sequence to document sequence categories, and specify the ledgers or legal entities for the assignment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the File Based Data Import (FBDI) template and make payments via Oracle Fusion Cloud", + "qas": [ + { + "id": "00601", + "is_impossible": false, + "question": "Is it possible to make payments with imported transactions?", + "answers": [ + { + "text": "Through Oracle Fusion Cloud using the File Based Data Import (FBDI) template.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Parameters Section: \"Business Unit\", \"Email Sequence\", \"Voucher Number\"", + "qas": [ + { + "id": "02081", + "is_impossible": false, + "question": "The Payables Invoice Audit also Voucher Number listed reports require parameters.", + "answers": [ + { + "text": "Business Unit, Sequence, and Voucher Number.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This benefit is described in the subsection \"Conciling by Business Unit or Ledger \".", + "qas": [ + { + "id": "00998", + "is_impossible": false, + "question": "How can the Business Unit be reconciled?", + "answers": [ + { + "text": "It allows employees from different business units to balance their respective accounting activity.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Freight and miscellaneous lines aren't supported during the tolerance setup for invoice matching.", + "qas": [ + { + "id": "01223", + "is_impossible": false, + "question": "When if 25-cent matched addition rail well sundry line also the which which tolerance?", + "answers": [ + { + "text": "Freight and miscellaneous lines aren't supported during the tolerance setup for invoice matching.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The HTTPS_GET protocol supports https connection but doesn't support the exchange of any dynamic tokens.", + "qas": [ + { + "id": "00514", + "is_impossible": false, + "question": "What protocol is used for HTTPS GET Request?", + "answers": [ + { + "text": "HTTPS_GET protocol.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "The names are different because you are a third-party payment, the supplier or part column shows the invoice supplier...", + "qas": [ + { + "id": "02013", + "is_impossible": false, + "question": "There other these list making which Payee well Supplier before which payments page.", + "answers": [ + { + "text": "You're making a third-party payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For a price increase correction, create a standard invoice. For a price decrease correction, create a credit or debit memo. Note: A price correction doesn't adjust the billed quantity on a purchase order or consumption advice.", + "qas": [ + { + "id": "00124", + "is_impossible": false, + "question": "What's a price correction?", + "answers": [ + { + "text": "A price correction is a supplier invoice that adjusts the unit price of an invoice that's matched to a purchase order, receipt, or consumption advice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A payment process request is a group of payments submitted for payment. You can submit a payment process request on the page Submit payment process request.", + "qas": [ + { + "id": "01828", + "is_impossible": false, + "question": "A payments step requested this why this is.", + "answers": [ + { + "text": "A payment process request is a group of installments submitted for payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Pay through date: Latest due date for an installment.", + "qas": [ + { + "id": "00185", + "is_impossible": false, + "question": "What does the 'Pay through date' selection criteria mean?", + "answers": [ + { + "text": "Latest due date for an installment.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "Payments removes the payment and associated documents payable from the payment process request.", + "qas": [ + { + "id": "00297", + "is_impossible": false, + "question": "What happens when payments are removed?", + "answers": [ + { + "text": "Payments and associated documents are removed from the request.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can load and import bank statements in Oracle Fusion Cash Management by any of the following methods: Automatic Bank Statement File Import Manual Bank Statement File Import by Oracle Web Center ", + "qas": [ + { + "id": "01061", + "is_impossible": false, + "question": "How can bank statements be imported?", + "answers": [ + { + "text": "Through Automatic Bank Statement File Import or Manual Bank Statement File Import through Oracle Web Center.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "After you send the images to the email account, the imaging solution retrieves them for further processing. The solution checks for new images every minute and creates invoices from the images.", + "qas": [ + { + "id": "00065", + "is_impossible": false, + "question": "What happens to the images sent to the designated email?", + "answers": [ + { + "text": "The imaging solution retrieves them for further processing, checks for new images every minute and creates invoices from the images.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How invoices are approved You can configure predefined workflows to manage invoices.", + "qas": [ + { + "id": "01820", + "is_impossible": false, + "question": "How able 25-cent expedited not managed?", + "answers": [ + { + "text": "You can configure predefined workflows to manage invoice approvals.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payee is the party who receives payment, these attributes default from the payment setup on the invoice.", + "qas": [ + { + "id": "02005", + "is_impossible": false, + "question": "When I creating plug-ins payment, why other which change from which payments traits flow?", + "answers": [ + { + "text": "These attributes default on the invoice from the payee setup and come from the payee setup when making a payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If your business process is to receive invoice images from your suppliers, communicate to them your imaging requirements. The suppliers can then send the invoice images directly to the designated email.", + "qas": [ + { + "id": "01164", + "is_impossible": false, + "question": "How able manufacturers sending 25-cent images?", + "answers": [ + { + "text": "By sending the invoice images directly to the designated email.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors on the Resolve Payment Validation Errors page.", + "qas": [ + { + "id": "01405", + "is_impossible": false, + "question": "Why could 'll do take removing payment in another payments step request?", + "answers": [ + { + "text": "To resolve validation errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This is suggested in the \"Reconcile Payables Activity for the Period\" section.", + "qas": [ + { + "id": "01544", + "is_impossible": false, + "question": "How able 'll reconciling Payables increasing making another period?", + "answers": [ + { + "text": "Using reports like Payables Trial Balance, Payables Posted Invoice Register, Payables Posted Payment Register, Payables to Ledger Reconciliation report, and Payables Open Items Revaluation report.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A positive number corresponds to a balance outstanding, and a negative number is an overpayment to the supplier.", + "qas": [ + { + "id": "01036", + "is_impossible": false, + "question": "Open Balance has a positive and a negative number.", + "answers": [ + { + "text": "A positive number corresponds to an outstanding balance and a negative number represents an overpayment to the supplier.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides examples of mandatory grouping options and their mappings to ISO 20022 elements.", + "qas": [ + { + "id": "00426", + "is_impossible": false, + "question": "What are some examples of mandatory grouping options and their mappings?", + "answers": [ + { + "text": "Examples include payment date mapped to requested execution date, and disbursement bank account mapped to debtor account, debtor, and debtor agent.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Regular testing also keeps IDR aware of newly updated supplier and purchase orders. Here are a few things to remember before you start testing :", + "qas": [ + { + "id": "00707", + "is_impossible": false, + "question": "How can you make sure you have the most recent suppliers on your platform?", + "answers": [ + { + "text": "Request a P2T (Production-to-Test) environment refresh.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Invoice lines record details of goods and services including tax, freight and other charges and can be generated by matching an invoice to a purchase order, receipt or consumer advice.", + "qas": [ + { + "id": "01692", + "is_impossible": false, + "question": "What other which detail capture also which 25-cent lines?", + "answers": [ + { + "text": "Details of the goods and services including tax, freight, and miscellaneous charges.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Mass onboarding of suppliers... Access to additional short-term working capital for suppliers.\"", + "qas": [ + { + "id": "00219", + "is_impossible": false, + "question": "What are the advantages of the Payables Early Payment Offers feature?", + "answers": [ + { + "text": "Benefits include mass onboarding of suppliers, a one-click process to extend offers, automated processing of accepted offers, higher return for buyers, and access to short-term working capital for suppliers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"An invoice for 200 USD and a credit memo for 225 USD are due for payment.\"", + "qas": [ + { + "id": "01380", + "is_impossible": false, + "question": "What not which loans amounts this than more which invoice?", + "answers": [ + { + "text": "The payment amount becomes negative if credits are applied.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Bases of transactions are only stored in the primary ledger in the currency.", + "qas": [ + { + "id": "01027", + "is_impossible": false, + "question": "What are the base amounts for transactions?", + "answers": [ + { + "text": "Base amounts for transactions are stored only in the currency of the primary ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Typically General Ledger users are secured by data access sets... Payables users are secured by business units.\"", + "qas": [ + { + "id": "01552", + "is_impossible": false, + "question": "How this users military optimized making which Payables take Ledger Reconciliation report?", + "answers": [ + { + "text": "General Ledger users are secured by data access sets, while Payables users are secured by business units.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Here are three ways you can use early payment discounts:... (on an ad hoc basis) for single payments.\"", + "qas": [ + { + "id": "00212", + "is_impossible": false, + "question": "How can you use early payment discounts?", + "answers": [ + { + "text": "1. Through campaigns and automated processing of offer responses. 2. Through enrollment in standing offers. 3. Through dynamic offers for single payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If business units and balancing segment values aren't intentionally or implicitly mapped, the report could show the following unintended results.", + "qas": [ + { + "id": "02103", + "is_impossible": false, + "question": "If industry unit well balance segments belief other be mapped, why happens?", + "answers": [ + { + "text": "The Payables to Ledger Reconciliation report could display unintended results.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can manage the section headers and columns on the report.\"", + "qas": [ + { + "id": "00432", + "is_impossible": false, + "question": "How can you manage the report output of the Payables Invoice Audit by Voucher Number Listing report?", + "answers": [ + { + "text": "By managing the section headers and columns, such as changing column sorting or converting a section header to a column or parameter.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For the synchronization of invoices and payments, perform the following tasks: Specify information entry options, Manage Payables Document Sequences, (Optional) Manage Invoice Options, (Optional) Manage Payment Options", + "qas": [ + { + "id": "01651", + "is_impossible": false, + "question": "What other which task but needs take not doing take sets down which sequences making phony well payments?", + "answers": [ + { + "text": "Specify Ledger Options, Manage Payables Document Sequences, Manage Invoice Options (optional), and Manage Payment Options (optional).", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can generate paper document numbers for electronic payments. Paper document numbers can be sent to your payment system or bank so they can be printed onto your outsourced checks.", + "qas": [ + { + "id": "01502", + "is_impossible": false, + "question": "Can printed documents number not generate making digital payments?", + "answers": [ + { + "text": "Yes, paper document numbers can be generated for electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How invoices are approved You can configure predefined workflows to manage invoice approvals. When the invoice approval process starts, a workflow builds the list of approvers based on the defined rules.", + "qas": [ + { + "id": "01821", + "is_impossible": false, + "question": "How if which 25-cent approved step work?", + "answers": [ + { + "text": "When the invoice approval process starts, a workflow builds the list of approvers based on the defined rules. Approval notifications are sent to the first set of approvers on the list. When the approvers respond, notifications are sent to the next set of approvers. This process repeats until all approvals are complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you have made a prepayment as inclusive then choose the Included option when you apply the prepayment.", + "qas": [ + { + "id": "01728", + "is_impossible": false, + "question": "How able another drop-out not inclusive?", + "answers": [ + { + "text": "By selecting the Included on Invoice option when applying the prepayment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Installment selection Pending installments review Requires a manual review because the option to review installments is active.\"", + "qas": [ + { + "id": "01303", + "is_impossible": false, + "question": "What could requiring users actions since which \"Installment selection\" stages and another \"Pending instalments review\" status?", + "answers": [ + { + "text": "It requires a manual review because the option to review installments is active.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "From the Manage External Transaction page, search for the transaction you want to discuss, in the search results, click on the transaction number to review in the conversation: 1. Click Social to open Oracle Social Network. 2. Click the Share button...", + "qas": [ + { + "id": "00527", + "is_impossible": false, + "question": "How can a cash manager discuss external transactions with the general accounting manager using social networking?", + "answers": [ + { + "text": "They can use the Social link on the View External Transaction page to invite the general accounting manager to a conversation to discuss external transactions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can't cancel an invoice if any of these conditions apply to it. Invoice is validated. It's matched to a purchase order or receipt. It is updated with a tax calculation. It is under approval and has an approval status of Required or Not Required.", + "qas": [ + { + "id": "01793", + "is_impossible": false, + "question": "I can't removing a invoice.", + "answers": [ + { + "text": "You can't cancel an invoice if any of these conditions apply to it. \u0095 Invoice is validated. \u0095 It's matched to a purchase order or receipt. \u0095 It's updated with a tax calculation. \u0095 It's undergoing approval and doesn't have an approval status of Required or Not required.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Early Payment Discount Offers... You can pay invoices early in return for discounts with the Payables Early Payment Offers feature.\"", + "qas": [ + { + "id": "00210", + "is_impossible": false, + "question": "What is the benefit of the Payables Early Payment Offers feature?", + "answers": [ + { + "text": "You can pay invoices early in return for discounts.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "The text describes the three levels of the format of the ISO 20022 credit transfer message.", + "qas": [ + { + "id": "00974", + "is_impossible": false, + "question": "The ISO 20022 credit transfer message format is structured.", + "answers": [ + { + "text": "The ISO 20022 credit transfer message format has a three-level XML message structure, including group header, payment information, and supplementary data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments removes them from the payment process request and informs the source product.", + "qas": [ + { + "id": "00299", + "is_impossible": false, + "question": "What action is taken when documents are removed?", + "answers": [ + { + "text": "They are removed from the request and their status is reset.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Assuming that rental expenses are evenly divided over the 3 months and that the monthly accounting calendar is used.", + "qas": [ + { + "id": "01746", + "is_impossible": false, + "question": "What this which divided which which rentals expenses?", + "answers": [ + { + "text": "The rental expenses are split evenly over the 3 months.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\" A 200 USD invoice and a 125 USD credit memo are due for payment\"", + "qas": [ + { + "id": "00829", + "is_impossible": false, + "question": "When the invoice amount is greater than the credit amount, what happens?", + "answers": [ + { + "text": "The option setting has no effect; the payment amount is still positive.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"If you have multiple payables accounts, you can limit the process to specific accounts...If the Financial Category isn't assigned to any natural account values in the chart of accounts, the process fails.\"", + "qas": [ + { + "id": "01559", + "is_impossible": false, + "question": "What this which requirements making account take not including from which peace report?", + "answers": [ + { + "text": "The natural account segment values must have a Financial Category of Accounts Payable.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The names are different because you are paying a third party. The supplier or party column displays the invoicing supplier...", + "qas": [ + { + "id": "00906", + "is_impossible": false, + "question": "There are different names for the Payee and the Supplier on the payment process request pages.", + "answers": [ + { + "text": "The names are different because you're making a third-party payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"The discounts decrease over time, depending on the annual percentage rate (APR) that the supplier and you have agreed upon for taking discounts.\"", + "qas": [ + { + "id": "00220", + "is_impossible": false, + "question": "How are the discounts in the Payables Early Payment Offers feature determined over time?", + "answers": [ + { + "text": "The discounts decrease over time, based on the annual percentage rate (APR) agreed upon between the supplier and the buyer.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you're using the invoice approval workflow, you can select from the following actions: \u00e2\u0080\u00a2 Initiate \u00e2\u0080\u00a2 Withdraw \u00e2\u0080\u00a2 Hold \u00e2\u0080\u00a2 Force approve \u00e2\u0080\u00a2 Resubmit.", + "qas": [ + { + "id": "01192", + "is_impossible": false, + "question": "What constraints must not with making approved actions?", + "answers": [ + { + "text": "Actions like Initiate, Withdraw, Hold, Force Approve, and Resubmit should be considered.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"More payment files might be created than necessary...\"", + "qas": [ + { + "id": "00237", + "is_impossible": false, + "question": "What is a drawback of immediate payment file creation?", + "answers": [ + { + "text": "More payment files might be created than necessary.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "under \"Conditions\" sub-section under \"Payables cash requirements report\".", + "qas": [ + { + "id": "00986", + "is_impossible": false, + "question": "What are the requirements for the Payables Cash Requirement Report?", + "answers": [ + { + "text": "Payment Business Unit, Template, Pay Through Date, Payment Date, Summary Option, and Include Unvalidated Invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You or the application can perform steps to ensure assignment of disbursement bank account and payment process profile.", + "qas": [ + { + "id": "01387", + "is_impossible": false, + "question": "What able 'll selecting then submit another payments request?", + "answers": [ + { + "text": "Disbursement bank account and a payment process profile.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If a default third-party payment relationship is defined for the invoice date, the third-party information is copied to the invoice...", + "qas": [ + { + "id": "00351", + "is_impossible": false, + "question": "What happens if I create an invoice using Supplier Portal for a supplier that is set up for third-party payments?", + "answers": [ + { + "text": "If a default third-party payment relationship is defined, the third-party information is copied to the invoice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This example illustrates how Accounting entries are created for a single accounting event in more than one accounting period.", + "qas": [ + { + "id": "00636", + "is_impossible": false, + "question": "What is the significance of the scenario?", + "answers": [ + { + "text": "It demonstrates how accounting entries are created across more than one accounting period for a single accounting event.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Change the setup of remittance bank accounts, third party payees, payment methods, or payment formats.", + "qas": [ + { + "id": "01402", + "is_impossible": false, + "question": "How able many methodology error not resolved?", + "answers": [ + { + "text": "By changing the setup of various accounts and methods.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Payments are built into the fewest number of payment files...\"", + "qas": [ + { + "id": "01370", + "is_impossible": false, + "question": "How other payment consist from slated creation?", + "answers": [ + { + "text": "Into the fewest files.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When payments are revalidated, any setup changes you made are activated.", + "qas": [ + { + "id": "00321", + "is_impossible": false, + "question": "What happens when payments are revalidated?", + "answers": [ + { + "text": "\"Any setup changes you made are activated.\"", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "The bell notification appears when the payment batch stops for a required action or when the payment processing is complete...", + "qas": [ + { + "id": "01460", + "is_impossible": false, + "question": "When ca payments recognized reed 9-1-1 appear?", + "answers": [ + { + "text": "The bell notification appears when the payment batch stops for a required action or when the payment processing is complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Imaging retrieves the images from the designated email at scheduled intervals. It groups all invoice images in an email into a batch.", + "qas": [ + { + "id": "01170", + "is_impossible": false, + "question": "What this which roles which Oracle Imaging from which process?", + "answers": [ + { + "text": "It retrieves the images from the designated email at scheduled intervals and groups all invoice images in an email into a batch.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To set up sequencing for invoices and payments, perform the following tasks: Specify Ledger Options, Manage Payables Document Sequences, (Optional) Manage Invoice Options, (Optional) Manage Payment Options.", + "qas": [ + { + "id": "00013", + "is_impossible": false, + "question": "What tasks are involved in setting up sequencing for invoices and payments?", + "answers": [ + { + "text": "Specify Ledger Options, Manage Payables Document Sequences, Manage Invoice Options (optional), and Manage Payment Options (optional).", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "It does not adjust the chargeable quantity on a purchase order or consumption advice.", + "qas": [ + { + "id": "00705", + "is_impossible": false, + "question": "What is a price correction?", + "answers": [ + { + "text": "A price correction is a supplier invoice that adjusts the unit price of an invoice that's matched to a purchase order, receipt, or consumption advice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors on the Resolve Payment Validation Errors page.", + "qas": [ + { + "id": "00296", + "is_impossible": false, + "question": "How can you resolve payment validation errors?", + "answers": [ + { + "text": "By removing payments with validation errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "External cash transactions are transactions related to cash activity that haven't been recorded in applications. The sources of external transactions are: Manual entry Import Balancing Transactions...", + "qas": [ + { + "id": "01073", + "is_impossible": false, + "question": "What are the main sources of cash?", + "answers": [ + { + "text": "The sources are Manual Entry, Import, Balancing Transactions, Bank Statement, Bank Account Transfer, Ad Hoc Payment, and Reversal Reconciliation.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Standing offers a combination of AI recommendations with manual overrides that you specify...\"", + "qas": [ + { + "id": "00772", + "is_impossible": false, + "question": "What is the role of recommendations in standing offers?", + "answers": [ + { + "text": "Standing offers use a combination of AI recommendations with manual overrides specified by the user.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Various reasons listed under the \"Differences Between Summary and Detail Amounts\" section.", + "qas": [ + { + "id": "00471", + "is_impossible": false, + "question": "What might cause discrepancies between summary and detail amounts in the reconciliation report?", + "answers": [ + { + "text": "Data modification after running the preparation process, accounting activities in the subledger or general ledger after running the preparation process, and security rules restricting data view.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For invoices requiring budget control, the cancellation of an invoice also reverses the expenditure expenditure funds consumed and restores the previously obligated funds for the purchase order for matched invoices.", + "qas": [ + { + "id": "01792", + "is_impossible": false, + "question": "If I postpone a invoice, why happens?", + "answers": [ + { + "text": "Canceling an invoice sets invoice and installment amounts to zero, reverses invoice distributions, and reverses matches to purchase order schedules and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Summary Option: Select the level of invoice information to report.\"", + "qas": [ + { + "id": "00438", + "is_impossible": false, + "question": "What does the Summary Option parameter do in the Payables Cash Requirement Report?", + "answers": [ + { + "text": "It determines the level of invoice information to report, either listing unpaid or partially paid invoices, or just listing the payment amount due.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle's Imaging Solution offers cutting-edge intelligent recognition capabilities for extracting invoice attributes from scanned images. Unlike other solutions that use supplier-specific templates to extract information, Oracle can locate data intelligently within the invoice.", + "qas": [ + { + "id": "00621", + "is_impossible": false, + "question": "How do you extract invoice attributes from scanned images?", + "answers": [ + { + "text": "By using cutting-edge intelligent recognition capabilities to locate data within the invoice, regardless of its location on the image and whether it has processed invoices from that supplier before.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Approval invoice invoice Initiate the invoice action or schedule the Initiate Invoice Approval Workflow process to run on a regular basis. Approve invoice document Respond to the approval notification for the invoice Predefined rules Invoices having amounts greater than or equal to 1000 require approval on the invoice from the immediate supervisor of the requester.", + "qas": [ + { + "id": "01825", + "is_impossible": false, + "question": "What other which regulations from which 25-cent approved process?", + "answers": [ + { + "text": "The invoice approval workflow includes predefined rules such as invoices having amounts greater than or equal to 1000 requiring approval by the immediate supervisor of the requester on the invoice, and invoices having amounts less than 1000 being automatically approved.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Bank accounts and payment process profiles are assigned in a series of parameters, defaults and derived values.", + "qas": [ + { + "id": "01940", + "is_impossible": false, + "question": "How other banks account assigned?", + "answers": [ + { + "text": "Using parameters, defaults from templates, and derived values.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The invoice is: \u0095 Canceled \u0095 Partially or fully paid, and the Allow adjustments to paid invoices option isn't enabled \u0095 Selected for payment \u0095 An interest invoice \u0095 A prepayment that's partially or fully applied \u0095 In the process of getting approved The invoice line is: \u0095 Canceled \u0095 A prepayment application or unapplication \u0095 An automatic withholding line \u0095 A manual withholding line \u0095 Matched to a purchase order or receipt \u0095 A corrected line \u0095 A tax line \u0095 A Freight or Miscellaneous line that's allocated to other item lines", + "qas": [ + { + "id": "01232", + "is_impossible": false, + "question": "Why can't I creating another 6-speed distribution?", + "answers": [ + { + "text": "The invoice is: \u0095 Canceled \u0095 Partially or fully paid, and the Allow adjustments to paid invoices option isn't enabled \u0095 Selected for payment \u0095 An interest invoice \u0095 A prepayment that's partially or fully applied \u0095 In the process of getting approved The invoice line is: \u0095 Canceled \u0095 A prepayment application or unapplication \u0095 An automatic withholding line \u0095 A manual withholding line \u0095 Matched to a purchase order or receipt \u0095 A corrected line \u0095 A tax line \u0095 A Freight or Miscellaneous line that's allocated to other item lines", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text mentions the two versions of the credit transfer message format provided by Oracle Fusion Payments.", + "qas": [ + { + "id": "01521", + "is_impossible": false, + "question": "What version which loans transfers messages format if Oracle Fusion Payments provide?", + "answers": [ + { + "text": "Oracle Fusion Payments provides two versions of the credit transfer message format: one for SEPA (Single Euro Payment Area) and one for CGI (Common Global Implementation).", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments then informs the source product that none of the documents payable in the payment process request is being paid.", + "qas": [ + { + "id": "00869", + "is_impossible": false, + "question": "What status are the documents payable for?", + "answers": [ + { + "text": "\"The source product then unlocks the documents payable and resets their status.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can also use this report and the following reports to reconcile balances between Oracle Fusion Payables and the general ledger: Payables Posted Invoice Register Payables Trial Balance Report Payables to General Ledger Reconciliation Report", + "qas": [ + { + "id": "01044", + "is_impossible": false, + "question": "What reports can be used to reconcile balances?", + "answers": [ + { + "text": "Payables Posted Invoice Register, Payables Trial Balance Report, Payables to General Ledger Reconciliation Report.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "If your printer skips a numbered payment document, mark the payment document on the record print status page as skipped. If you choose not to reprint the numbered payment document as spoiled on the record print status page and then destroy the paper document.", + "qas": [ + { + "id": "02034", + "is_impossible": false, + "question": "Is this possibility take jones another payments documents also skipping instead spoiled?", + "answers": [ + { + "text": "Mark the payment document as skipped or spoiled on the Record Print Status page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Before running the report you must: Transfer accounting entries to the general ledger. Enable the Import Journal References option for the Payables source on the Manage Journal Sources page.", + "qas": [ + { + "id": "01592", + "is_impossible": false, + "question": "What should not doing after run which report?", + "answers": [ + { + "text": "Transfer accounting entries to the general ledger and enable the Import Journal References option for the Payables source on the Manage Journal Sources page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "After you override the error, the payment process formatted and then prints or transmits the payment file.", + "qas": [ + { + "id": "00948", + "is_impossible": false, + "question": "What happens when a payment file validation error is ignored?", + "answers": [ + { + "text": "The payment process formats and then prints or transmits the payment file.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text mentions that the application generates a unique payment reference number for each payment.", + "qas": [ + { + "id": "01511", + "is_impossible": false, + "question": "What particular identifiers this generate making only payment?", + "answers": [ + { + "text": "A unique payment reference number is generated for each payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A prepayment invoice can be partially paid, but it cannot be applied to a standard invoice or expense report. In order to apply a prepayment to a standard invoice or expense report it must be fully paid. Until it is fully paid, the status of the prepayment remains unpaid.", + "qas": [ + { + "id": "00670", + "is_impossible": false, + "question": "Why was the prepayment invoice's status displayed as not paid?", + "answers": [ + { + "text": "Though prepayment is paid partially the status is shown as unpaid on the invoice workbench. This is intended behavior.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Regardless of how you set the Require conversion rate entry option, a payment requires a conversion rate if...", + "qas": [ + { + "id": "01448", + "is_impossible": false, + "question": "Why never which payments requiring another converting rates then which options take requiring another converting rates this disabled?", + "answers": [ + { + "text": "A payment requires a conversion rate if it's in a foreign currency or if it has an invoice that's subject to automatic withholding.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Consider these points when using the reconciliation report of the payables to the general budget Differences Between Transactional and Accounted Amounts Differences Between the Summary and Detail Amounts Differences Between the reconciliation report and the other Payables Reports Differences Due to Rounding Variances Due to Transactions not validated\"", + "qas": [ + { + "id": "02116", + "is_impossible": false, + "question": "What must not regarded then used which report?", + "answers": [ + { + "text": "Differences between transactional and accounted amounts, summary and detail amounts, the reconciliation report and other Payables reports, due to rounding, and due to transactions not validated.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How cash management external transactions are processed Once the external data has been prepared, proceed with the following steps: 1. Click the Generate CSV File button to generate a ZIP file containing the CSV file; 2. Transfer the generated ZIP file to the WebCenter document repository...", + "qas": [ + { + "id": "02175", + "is_impossible": false, + "question": "Data preparations making Cash Management External Transactions Import.", + "answers": [ + { + "text": "Data is manually entered into the External Transactions Import Template or extracted from an external application into a temporary spreadsheet, then transferred into the template. Following this, a ZIP file containing the CSV file is generated and transferred to WebCenter document repository, and the ESS job Load Interface File for Import process is submitted.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments also generates a unique payment reference number that identifies each payment.", + "qas": [ + { + "id": "00406", + "is_impossible": false, + "question": "What is generated alongside paper document numbers for electronic payments?", + "answers": [ + { + "text": "A unique payment reference number is generated for each payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can take the following actions with skipped payment documents: save them for a future single payment, save them for a manual payment, destroy the paper document and void it in Oracle Fusion Cash Management on the page Edit Bank Account.", + "qas": [ + { + "id": "02031", + "is_impossible": false, + "question": "What action able I come and another skipping payments document?", + "answers": [ + { + "text": "You can save it for a future single or manual payment, or destroy the paper document and void it in Oracle Fusion Cash Management.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments then informs the source product that the documents payable in the payment aren't being paid.", + "qas": [ + { + "id": "00316", + "is_impossible": false, + "question": "What does the source product do after removing payments?", + "answers": [ + { + "text": "\"The source product then unlocks the documents payable and resets their status.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Done the Prepare Payables to general - Ledger reconciliation process to select data for the summary of the payables to data reconciliation report.\"", + "qas": [ + { + "id": "01005", + "is_impossible": false, + "question": "What does the prepare the payables to general ledger reconciliation process do?", + "answers": [ + { + "text": "It selects data for the Summary section of the Payables to Ledger Reconciliation Report.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "qas": [ + { + "id": "00105", + "is_impossible": false, + "question": "What's an incomplete invoice?", + "answers": [ + { + "text": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text explains that paper document numbers for electronic payments can be sent to the payment system or to the bank for printing on outsourced checks.", + "qas": [ + { + "id": "02059", + "is_impossible": false, + "question": "Paper documents number other using from digital payments.", + "answers": [ + { + "text": "Paper document numbers are used for electronic payments and can be sent to your payment system or bank to be printed onto outsourced checks.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Yes, and the invoice that you apply the prepayment to must have at least one line matched to the same purchase order as the prepayment.", + "qas": [ + { + "id": "00121", + "is_impossible": false, + "question": "Can I match a prepayment to a purchase order?", + "answers": [ + { + "text": "Yes, and the invoice that you apply the prepayment to must have at least one line matched to the same purchase order as the prepayment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text mentions the availability of optional ISO 20022 grouping options for SEPA and CGI.", + "qas": [ + { + "id": "00427", + "is_impossible": false, + "question": "What are the optional ISO 20022 grouping options for SEPA and CGI?", + "answers": [ + { + "text": "Optional ISO 20022 grouping options for SEPA and CGI are available on the Grouping tab on the Create and Edit Payment Process Profile page and tell Payments how to optionally group transactions within a payment file.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If a prepayment is mistakenly applied to an invoice, you can unapply the prepayment. The prepayment is then available for application to another invoice.", + "qas": [ + { + "id": "01181", + "is_impossible": false, + "question": "What happen then 'll mistook applying another drop-out take a invoice?", + "answers": [ + { + "text": "You can unapply the prepayment, making it available for application to another invoice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A spoiled payment document can't be used. Blank payment documents don't have the document or check number already printed on them.", + "qas": [ + { + "id": "00387", + "is_impossible": false, + "question": "What should I do with a spoiled blank payment document?", + "answers": [ + { + "text": "A spoiled blank payment document cannot be used and should be destroyed.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The section \"Submit unaccounted transactions and sweep process\" provides this information.", + "qas": [ + { + "id": "00993", + "is_impossible": false, + "question": "What does the Unaccounted Transactions and Sweep process do?", + "answers": [ + { + "text": "It transfers unaccounted transactions from one accounting period to another, and can change the accounting date of transactions to the next open period.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Prorating the amount paid for the invoice in the ratio of distribution amount and total invoice amount gives the amount for each distribution.\"", + "qas": [ + { + "id": "01351", + "is_impossible": false, + "question": "How this which spending amounts making only product determined?", + "answers": [ + { + "text": "By prorating the amount paid for the invoice based on distribution amount and total invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This application provides the dashboard to identify suitable suppliers for dynamic discounting.", + "qas": [ + { + "id": "00782", + "is_impossible": false, + "question": "Which application identifies suppliers?", + "answers": [ + { + "text": "AI Apps for ERP.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can follow these steps to define a payment currency: 1. Navigate to Procurement > Suppliers > Manage Suppliers. 2. Use the advanced search feature with the supplier\u0092s name. 3. On the Supplier page, go to the Sites tab. 4. Click on the supplier site link and then go to the Invoicing tab. 5. Define the payment currency.", + "qas": [ + { + "id": "00115", + "is_impossible": false, + "question": "Can I pay an invoice with a withholding tax?", + "answers": [ + { + "text": "You can pay an invoice that has auto-generated withholding tax amount if you enter the payment in a valid currency.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An example of a temporary prepayment is a catering deposit to a hotel.", + "qas": [ + { + "id": "00076", + "is_impossible": false, + "question": "What is an example of a temporary prepayment?", + "answers": [ + { + "text": "A catering deposit to a hotel.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "Banks sometimes make mistakes by depositing or withdrawing incorrect amounts to bank accounts... Reconciling Corrections and Adjustments to Bank Errors Correcting bank errors using the reversal and adjustment method are described in the following example...", + "qas": [ + { + "id": "00532", + "is_impossible": false, + "question": "What methods do banks use to resolve errors?", + "answers": [ + { + "text": "Banks resolve errors using two methods: reversal and adjustment. In the reversal method, the bank reverses the entire error transaction amount so that the error entry and the reversal entry net out to zero, and then makes another transaction entry for the correct transaction amount. In the adjustment method, the bank creates an additional transaction entry to make up for the difference between the original transaction amount and the error entry.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you choose to reprint, perform both of the following steps: 1. Reprint the payment onto a new numbered payment document on the Reprint Payment Documents page. 2. Report the payment as issued on the Record Print Status page... If you choose not to reprint, mark the numbered payment document as spoiled on the Record Print Status page and then destroy the paper document.", + "qas": [ + { + "id": "00382", + "is_impossible": false, + "question": "How do I handle a spoiled numbered payment document?", + "answers": [ + { + "text": "If you choose to reprint, reprint the payment onto a new numbered payment document and report the payment as issued. If you choose not to reprint, mark the document as spoiled and destroy the paper document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An invoice for a 3-month lease is entered on Jan. 10th. The total expense is 12,000 USD and covers the rental period from Jan. 1 to Mar. 31.", + "qas": [ + { + "id": "01187", + "is_impossible": false, + "question": "What this which 50 expenses well rentals periods from which provide scenario?", + "answers": [ + { + "text": "The total expense is 12,000 USD and covers the rental period from Jan. 1 to Mar. 31.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "Note : You may choose to change setups to resolve payment validation errors, but you can't change the details of the documents payable.", + "qas": [ + { + "id": "01972", + "is_impossible": false, + "question": "Is this possibility take changes which detail which papers since which payments process?", + "answers": [ + { + "text": "\"No, they are locked during the payment process.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Other reasons for whether you can't cancel an invoice are as follows : You applied a prepayment on the invoice Canceling the invoice reduces the billed amount less than zero On partially paid invoices, you can create a memo and then reconcile it with the invoice to turn this invoice into a fully-paid invoice.", + "qas": [ + { + "id": "01791", + "is_impossible": false, + "question": "I can't postpone a invoice.", + "answers": [ + { + "text": "The invoice is: \u0095 Fully or partially paid \u0095 On hold \u0095 Selected for payment \u0095 Matched to a purchase order with a status of Finally closed \u0095 Already canceled \u0095 Corrected by a credit or debit memo", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If there are errors during bank statements import, the errors can be corrected and re-uploaded to the cube using the Correct Bank Statement Import Errors spreadsheet: 1. From the Cash Balances Dashboard page, go to task pane, and click on Correct Bank Statement Import Errors. This opens the Cash Position Bank Statements spreadsheet. 2. The worksheet is pre-populated with rows that failed import 3. Review and correct the errors in the spreadsheet. 4. Once the errors are corrected, click the Upload and Import button. 5. Click the Download button to see if there are any rows returned. If the spreadsheet is empty, then all rows have successfully been imported.", + "qas": [ + { + "id": "00548", + "is_impossible": false, + "question": "How can errors during bank statements import be corrected?", + "answers": [ + { + "text": "Use the Correct Bank Statement Import Errors spreadsheet to review, correct the errors, and click the Upload and Import button.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Payments are built into the least number of payment files...\"", + "qas": [ + { + "id": "01913", + "is_impossible": false, + "question": "The benefits which slated creation?", + "answers": [ + { + "text": "Fewer payment files.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can't cancel an invoice if any of these conditions apply to it. Invoice is validated. It's matched to a purchase order or receipt. It is updated with a tax calculation. It is under approval and has an approval status of Required or Not Required.", + "qas": [ + { + "id": "00693", + "is_impossible": false, + "question": "I can't remove an invoice.", + "answers": [ + { + "text": "You can't cancel an invoice if any of these conditions apply to it. \u0095 Invoice is validated. \u0095 It's matched to a purchase order or receipt. \u0095 It's updated with a tax calculation. \u0095 It's undergoing approval and doesn't have an approval status of Required or Not required.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can create invoices through a spreadsheet using the Create invoice in the spreadsheet task, and you can also submit the invoice import process from the spreadsheet.", + "qas": [ + { + "id": "01680", + "is_impossible": false, + "question": "How able 'll using another spreadsheets take creating invoices?", + "answers": [ + { + "text": "You can create invoices through the Create Invoice in Spreadsheet task and then submit the invoice import process from the spreadsheet.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can access Oracle Fusion Payments reports by clicking links in the UI so that you do not have to navigate to the scheduled processes area to retrieve them...", + "qas": [ + { + "id": "02012", + "is_impossible": false, + "question": "Payment report other displayed.", + "answers": [ + { + "text": "You can access Oracle Fusion Payments reports by clicking links on the UI.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Create Workflow Rules Using a Spreadsheet The Simplified Workflow Rules Configuration feature is a spreadsheet-based alternative to creating rules in Oracle Business Process Management (BPM ) Use this feature to create workflow rules for Payables Invoice Approval and General Ledger Journal Approval workflows. You can download the spreadsheet templates from the Manage Workflow Rules in Spreadsheet page to create and manage rules according to your approval policies.", + "qas": [ + { + "id": "00727", + "is_impossible": false, + "question": "Where can I get the spreadsheet templates to create and manage rules?", + "answers": [ + { + "text": "You can download the spreadsheet templates from the Manage Workflow Rules in Spreadsheet page.", + "answer_start": 42 + } + ] + } + ] + }, + { + "context": "An invoice for a 3-month lease is entered on Jan. 10, and the total expense is 12,000 USD and covers the rental period from Jan. 1 to Mar. 31.", + "qas": [ + { + "id": "00637", + "is_impossible": false, + "question": "In the provided scenario, what is the total expense and rental period?", + "answers": [ + { + "text": "The total expense is 12,000 USD and covers the rental period from Jan. 1 to Mar. 31.", + "answer_start": 12 + } + ] + } + ] + }, + { + "context": "\"If you have multiple payables accounts, you can limit the process to specific accounts [...] If the financial category in the account chart is not assigned to any natural account values, the process fails.\"", + "qas": [ + { + "id": "02109", + "is_impossible": false, + "question": "The peace reports require account take not included.", + "answers": [ + { + "text": "The natural account segment values must have a Financial Category of Accounts Payable.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Cash Positioning and Forecasting Solution Components The following is used to create the cash position and forecast : Essbase cube: This component contains the actual transaction data sources such as AP payments, AR receipts, and payroll \u2013 payments... SMART View and Excel: Are created to allow the extraction of data from the various sources before transferring them to the Essbase cube.", + "qas": [ + { + "id": "01091", + "is_impossible": false, + "question": "What components are used to forecast and create cash position?", + "answers": [ + { + "text": "Essbase cube, SMART View and Excel, Interface tables, ADF User Interface, and ESS Job are used.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text explains the consequences of not selecting a payment document when submitting a payment process request.", + "qas": [ + { + "id": "00416", + "is_impossible": false, + "question": "What happens if you don't select a payment document when submitting a payment process request?", + "answers": [ + { + "text": "If no payment document is selected, Payments refers to the default payment document selected in the payment process profile setup. If no default payment document is provided, Payments doesn't generate a payment document number.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The invoices with account code status are not selected for invoice validation because they are in the process of entering accounting information.", + "qas": [ + { + "id": "01778", + "is_impossible": false, + "question": "Why weren't your phony got down making validation?", + "answers": [ + { + "text": "Invoices with the account coding status of Initiated aren't picked for invoice validation due to them being in the process of entering accounting information.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments also generates a unique payment reference number that identifies each payment.", + "qas": [ + { + "id": "01506", + "is_impossible": false, + "question": "What this generate both printed documents number making digital payments?", + "answers": [ + { + "text": "A unique payment reference number is generated for each payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you decide not to reprint, mark the date coded payment document on the document list as unprintable and then destroy the paper document.", + "qas": [ + { + "id": "00944", + "is_impossible": false, + "question": "What should I do with the paper document?", + "answers": [ + { + "text": "Destroy the paper document.", + "answer_start": 20 + } + ] + } + ] + }, + { + "context": "A payment process request is a group of installments submitted for payment. You can submit a payment process request on the Submit Payment Process Request page.", + "qas": [ + { + "id": "00178", + "is_impossible": false, + "question": "What is a payment process request?", + "answers": [ + { + "text": "A payment process request is a group of installments submitted for payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Payables improves security by limiting access to invoices and payments by business unit. You can access invoices and payments for viewing or processing only for the business units to which you have permission.", + "qas": [ + { + "id": "01105", + "is_impossible": false, + "question": "How if Oracle Fusion Payables strengthen 25-cent well payments security?", + "answers": [ + { + "text": "By limiting access to invoices and payments by business unit and allowing access only to those business units for which a user has permission.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "-", + "qas": [ + { + "id": "01804", + "is_impossible": false, + "question": "When if 25-cent matched addition rail well are lines?", + "answers": [ + { + "text": "Freight and miscellaneous lines aren't supported during the tolerance setup for invoice matching.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Remaining Amount Nets credits and debits booked to the liability account for the invoice, with an accounting date before or on the liability account date.", + "qas": [ + { + "id": "01590", + "is_impossible": false, + "question": "How this Remaining Amount calculated?", + "answers": [ + { + "text": "Nets credits and debits booked to the liability account for the invoice, with an accounting date before or on the liability account date.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors on the page Resolve payment validation errors by removing one or more documents payable.", + "qas": [ + { + "id": "00867", + "is_impossible": false, + "question": "What can you do to remove documents from a payment?", + "answers": [ + { + "text": "\"By removing one or more documents payable from a payment that's included in the payment process request.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payment process profile page. Navigation: Setup and Maintenance > Define Invoicing and Payments Configuration > Define Disbursements > Manage Payment Process Profiles task > Manage Payment Process. Action: Select a default payment document from the choice list.", + "qas": [ + { + "id": "02058", + "is_impossible": false, + "question": "How ca 'll sets down another defaults payments document?", + "answers": [ + { + "text": "On the Create Payment Process Profile page, select a default payment document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Recent invoices that were updated or created in the last days are displayed.", + "qas": [ + { + "id": "00585", + "is_impossible": false, + "question": "The invoices are displayed in the \"recent\" category.", + "answers": [ + { + "text": "Invoices that were updated or created in the last days.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "Bank accounts and payment process profiles are assigned in a series of parameters, defaults and derived values.", + "qas": [ + { + "id": "00840", + "is_impossible": false, + "question": "How are bank accounts assigned?", + "answers": [ + { + "text": "Using parameters, defaults from templates, and derived values.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Campaign Management... Responses are automatically processed to these early payment offers.\"", + "qas": [ + { + "id": "01879", + "is_impossible": false, + "question": "Campaign Management recently really take offer.", + "answers": [ + { + "text": "Supplier identification and automated offer processing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"When you enable cash budgeting, the payment processing happens only when there is enough balance in the funds account.\"", + "qas": [ + { + "id": "00798", + "is_impossible": false, + "question": "When cash budgeting is enabled, what happens?", + "answers": [ + { + "text": "Payment processing occurs only with sufficient balance in the funds account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The section \"Considerations for Closing a Period of Payables\" provides a list of activities to consider before closing a period of payables.", + "qas": [ + { + "id": "02089", + "is_impossible": false, + "question": "What must not doing after which periods ends?", + "answers": [ + { + "text": "Complete and approve all transactions and payment files, reconcile payments to bank statements, transfer all approved invoices and payments to the general ledger, submit the Unaccounted Transactions and Sweep process, close the current Payables period, reconcile Payables activity for the period, and open the next Payables period.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When the multi-period accounting process is later submitted, a portion of the total expenses is recognised and is then transferred to the actual expense account from the accrual account.", + "qas": [ + { + "id": "00634", + "is_impossible": false, + "question": "When the multiperiod accounting process is submitted, what happens?", + "answers": [ + { + "text": "A portion of the total expenses is recognized and moved from the accrual account to the actual expense account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This option is only available when the total credit amount for a payment processing request is greater than the standard invoice amount.", + "qas": [ + { + "id": "01932", + "is_impossible": false, + "question": "The \"Apply outstanding down take mean amounts payment\" options able not used.", + "answers": [ + { + "text": "When the total credit amount is greater than the total standard invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This is the amount reserved for the payment. Prorating the amount paid for the invoice in the ratio of distribution amount and total invoice amount...\"", + "qas": [ + { + "id": "01342", + "is_impossible": false, + "question": "How this which Budget Amount determined?", + "answers": [ + { + "text": "By prorating the amount paid for the invoice in the ratio of distribution amount to total invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Location: Create Payment Process Profile page. Navigation: Setup and Maintenance > Define Invoicing and Payments Configuration > Define Disbursements > Manage Payment Process Profiles task > Manage Payment Process. Action: From the Default Payment Document choice list, select a default payment document.", + "qas": [ + { + "id": "01508", + "is_impossible": false, + "question": "How able 'll sets down another defaults payments documents making digital payments?", + "answers": [ + { + "text": "On the Create Payment Process Profile page, select a default payment document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Yes, and the invoice that you apply the prepayment to must have at least one line matched to the same purchase order as the prepayment.", + "qas": [ + { + "id": "01221", + "is_impossible": false, + "question": "Can I matches another drop-out take another sale order?", + "answers": [ + { + "text": "Yes, and the invoice that you apply the prepayment to must have at least one line matched to the same purchase order as the prepayment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": " Collect invoices for training. Tip: Ensure that these invoices represent a sample of regularly processed invoices and cover at least 5 invoices from your top 25 suppliers.", + "qas": [ + { + "id": "01809", + "is_impossible": false, + "question": "Before testing, then must IDR not enabled?", + "answers": [ + { + "text": "Enable IDR 24 hours before testing begins.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "qas": [ + { + "id": "01200", + "is_impossible": false, + "question": "What's a incorrect invoice?", + "answers": [ + { + "text": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Standing offers use a combination of AI recommendations with manual overrides that you specify...\"", + "qas": [ + { + "id": "01322", + "is_impossible": false, + "question": "What this which roles which AI guidelines from Standing Offers?", + "answers": [ + { + "text": "Standing offers use a combination of AI recommendations with manual overrides specified by the user.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To use the integrated invoice imaging solution, you must have a designated email to send the invoice images. You get one when you sign up for the Oracle Cloud Application Service.", + "qas": [ + { + "id": "00063", + "is_impossible": false, + "question": "How can one start using the integrated invoice imaging solution?", + "answers": [ + { + "text": "By having a designated email to send the invoice images, which is provided upon signing up for the Oracle Cloud Application Service.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the FBDI template for Import Payables Invoices process to create invoices from invoice records in the Oracle Fusion Payables open interface tables.", + "qas": [ + { + "id": "01131", + "is_impossible": false, + "question": "Which templates must not using making which Import Payables Invoices step from Oracle Fusion Payables?", + "answers": [ + { + "text": "The FBDI template.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "The Create Chart of Accounts, Ledger, Legal Entities, and Business Units in Spreadsheet task is an alternative method for creating document sequences.", + "qas": [ + { + "id": "01124", + "is_impossible": false, + "question": "What this a alternatives methods making create documents sequences?", + "answers": [ + { + "text": "The Create Chart of Accounts, Ledger, Legal Entities, and Business Units in Spreadsheet task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following example describes how to load and import an electronic bank statement manually. 1. Obtain a bank statement file: bai2.txt, from the bank... 5. Check for any processing errors from the bank statements and reconciliation overview page.", + "qas": [ + { + "id": "02168", + "is_impossible": false, + "question": "How able another someone mechanically loads well export another banks statement?", + "answers": [ + { + "text": "Obtain the bank statement file, compress it into a .zip file, transfer the .zip file to the Web Center document repository, run the Load and Import Bank Statement process, and check for any processing errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you choose to reprint, perform the following steps: 1. Reprint the payment to a new numbered payment document on the Reprint Payment Documents page, 2. Report the payment as issued on the Record Print Status page... If you choose not to reprint, mark the numbered payment document as spoiled on the Record Print Status page and then destroy the paper document.", + "qas": [ + { + "id": "00932", + "is_impossible": false, + "question": "How do I deal with a spoiled payment document?", + "answers": [ + { + "text": "If you choose to reprint, reprint the payment onto a new numbered payment document and report the payment as issued. If you choose not to reprint, mark the document as spoiled and destroy the paper document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Upload Banks, Branches and Accounts process will match an uploaded.csv file with the existing bank and branch data and find the differences between the two, then the Oracle ERP Cloud inserts or updates the bank and branch data based on the differences found.", + "qas": [ + { + "id": "01054", + "is_impossible": false, + "question": "What is the purpose of the accounts process?", + "answers": [ + { + "text": "To match an uploaded .csv file to the existing bank and branch data, find the differences, and then insert or update the bank and branch data based on the differences found.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Pay through date: Latest due date for an installment.", + "qas": [ + { + "id": "01285", + "is_impossible": false, + "question": "What if which 'Pay into date' selected requirements mean?", + "answers": [ + { + "text": "Latest due date for an installment.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "The text describes two actions which can lead to the generation of payment document numbers for electronic payments.", + "qas": [ + { + "id": "02067", + "is_impossible": false, + "question": "Payment documents number other generate making digital payments.", + "answers": [ + { + "text": "Payment document numbers can be generated by selecting a payment document when submitting a payment process request or the Create Electronic Payment Files submission page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Payables improves security by restricting access to invoices and payments by business unit.", + "qas": [ + { + "id": "01667", + "is_impossible": false, + "question": "How if Oracle Fusion Payables improving 25-cent well payments security?", + "answers": [ + { + "text": "By limiting access to invoices and payments by business unit and allowing access only to those business units for which a user has permission.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can solve payment validation errors on the page Resolve payment validation errors by removing one or more payments with validation errors.", + "qas": [ + { + "id": "01963", + "is_impossible": false, + "question": "How able methodology error not fixed?", + "answers": [ + { + "text": "\"By removing one or more payments with validation errors from the payment process request.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "From the Invoices landing page, click the Create Recurring Invoices task to open the Create Recurring Invoices spreadsheet.", + "qas": [ + { + "id": "01107", + "is_impossible": false, + "question": "How able 'll provide which Create Recurring Invoices interface from Oracle Fusion Payables?", + "answers": [ + { + "text": "From the Invoices landing page, click the Create Recurring Invoices task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Imaging specialists can check the quality and proper formatting of images sent by email.", + "qas": [ + { + "id": "01719", + "is_impossible": false, + "question": "What able which experts looking making from which imagery sending also email?", + "answers": [ + { + "text": "Quality and proper formatting.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "If you enable the Create interest invoices option but don't define a rate for the day after the invoice is due, interest isn't calculated and an interest invoice isn't created.", + "qas": [ + { + "id": "01444", + "is_impossible": false, + "question": "What happen not I don't defining a credit rates making a repayment invoice?", + "answers": [ + { + "text": "Interest isn't calculated and an interest invoice isn't created.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "The Oracle Cash Management Cash Positioning and Forecasting provide solutions to accurately report cash balances and position. This enables managers to make cash flows decisions such as investing and borrowing in a timely manner.", + "qas": [ + { + "id": "00535", + "is_impossible": false, + "question": "What is the purpose of Oracle Cash Management Cash Positioning and Forecasting?", + "answers": [ + { + "text": "To accurately report cash balances and position, enabling managers to make timely cash flows decisions like investing and borrowing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Report the payment on the record status page after printing the document on a new numbered invoice", + "qas": [ + { + "id": "02040", + "is_impossible": false, + "question": "How ca I reports another payments before it's being printed?", + "answers": [ + { + "text": "Report the payment as issued on the Record Print Status page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Refine your selection process by adding business units and currencies to the internal bank account as selection criteria.\"", + "qas": [ + { + "id": "00205", + "is_impossible": false, + "question": "How can you refine the installment selection process?", + "answers": [ + { + "text": "By configuring your payment process file and your internal bank account to filter installments based on business unit, currency, payment method, and ensuring their values match the usage rules defined in the payment process profile.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following steps are performed by the Automatic Reconciliation process: 1. The automatic reconciliation process first completes the reconciliation of the regular transactions using the reconciliation matching rule set...", + "qas": [ + { + "id": "00528", + "is_impossible": false, + "question": "What steps are performed by the Automatic Reconciliation process when processing rejected payments?", + "answers": [ + { + "text": "The process first completes reconciliation of regular transactions, identifies unreconciled reversal statement lines, looks back at 6 months of data to retrieve the original bank statement line, and then unreconciles the original statement line to automatically reconcile the rejected statement line with the original statement line.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text explains that Oracle Payments performs validations on ISO 20022 SEPA and CGI credit card transfers.", + "qas": [ + { + "id": "00978", + "is_impossible": false, + "question": "What do Oracle Payments do for ISO 20022 SEPA and CGI credit transfer messages?", + "answers": [ + { + "text": "Oracle Payments attaches validations to verify that required data is present in the credit transfer messages formats.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This option is applicable only when the total credit amount for a payment process request is greater than the total standard invoice amount.\"", + "qas": [ + { + "id": "01382", + "is_impossible": false, + "question": "When this which \"Apply outstanding down take mean amounts payment\" options applicable?", + "answers": [ + { + "text": "When the total credit amount is greater than the total standard invoice amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The data imported into Cash Management are: \u0095 Bank Statement Headers \u0095 Bank Statement Lines \u0095 System Transactions", + "qas": [ + { + "id": "00544", + "is_impossible": false, + "question": "What type of data is imported into Cash Management?", + "answers": [ + { + "text": "Bank Statement Headers, Bank Statement Lines, and System Transactions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The source product then unlocks the documents payable and resets their status.", + "qas": [ + { + "id": "01956", + "is_impossible": false, + "question": "After remove payments, why happen take documents?", + "answers": [ + { + "text": "They're unlocked and their status is reset.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For a payment process request (PPR) template you can select a specific source, so that one-time payments can be processed separately.", + "qas": [ + { + "id": "01706", + "is_impossible": false, + "question": "How able another when payment not processed?", + "answers": [ + { + "text": "By creating a Payment Process Request (PPR) template by selecting a specific source.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Depending on how you set these options, a payment process request might require your input before processing can complete.\"", + "qas": [ + { + "id": "01302", + "is_impossible": false, + "question": "Does set particular option something leads take computerized processing?", + "answers": [ + { + "text": "No, depending on how you set these options, a payment process request might require your input before processing can complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Related topics: Invoice Line Types, Invoice Distributions, Invoice Installments", + "qas": [ + { + "id": "00588", + "is_impossible": false, + "question": "There are some topics related to the main content.", + "answers": [ + { + "text": "Invoice Line Types, Invoice Distributions, and Invoice Installments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To set up sequencing for invoices and payments, perform the following tasks: Specify Ledger Options, Manage Payables Document Sequences, (Optional) Manage Invoice Options, (Optional) Manage Payment Options.", + "qas": [ + { + "id": "00023", + "is_impossible": false, + "question": "What tasks are involved in setting up sequencing for invoices and payments?", + "answers": [ + { + "text": "Specify Ledger Options, Manage Payables Document Sequences, Manage Invoice Options (optional), and Manage Payment Options (optional).", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Here are three ways you can use early payment discount... (on an ad hoc basis) for single payments.", + "qas": [ + { + "id": "01862", + "is_impossible": false, + "question": "How able late payments purchases not used?", + "answers": [ + { + "text": "1. Through campaigns and automated processing of offer responses. 2. Through enrollment in standing offers. 3. Through dynamic offers for single payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Invoices landing page to perform various tasks when processing invoices : you can focus on invoices that require your attention through one of the 6 info tiles displayed on the Invoices landing page.", + "qas": [ + { + "id": "00582", + "is_impossible": false, + "question": "What is the purpose of the Invoices landing page?", + "answers": [ + { + "text": "To perform various tasks when processing invoices.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "The following table describes each type of invoice.", + "qas": [ + { + "id": "00590", + "is_impossible": false, + "question": "What is the purpose of the table?", + "answers": [ + { + "text": "To describe each invoice type.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"When you submit a payment process request, the request passes through various stages of processing.\"", + "qas": [ + { + "id": "00198", + "is_impossible": false, + "question": "What happens when you submit a payment process request?", + "answers": [ + { + "text": "The request passes through various stages of processing.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "The Payments infotile displays the total amount due for invoices in the next days.", + "qas": [ + { + "id": "00049", + "is_impossible": false, + "question": ". What timeframe does the \"Payments\" infotile focus on for due payments?", + "answers": [ + { + "text": "The next days.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "This process repeats until all approvals are complete. Note: Approvers can respond from the email notification, the Worklist notifications page, the Invoices landing page,\nor the Edit Invoice page. Invoice Header Approval\nThe Approval workflow can be configured at the invoice header level.", + "qas": [ + { + "id": "00173", + "is_impossible": false, + "question": "At which level can the Approval workflow be configured?", + "answers": [ + { + "text": "The Approval workflow can be configured at the invoice header level.", + "answer_start": 32 + } + ] + } + ] + }, + { + "context": "Dynamic offers are helpful when managing an ad hoc early payment request.", + "qas": [ + { + "id": "01865", + "is_impossible": false, + "question": "How if which indices clouds take purchases making double payments?", + "answers": [ + { + "text": "It uses AI models to suggest discount rates.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can set the following ledger options : Sequencing By: Enables document sequencing for the ledger or the legal entities associated with that ledger. Enforce document sequence: When set to Payables, indicates that invoices and payments require voucher numbers. Enforce chronological order on the invoice header: Checks the invoice date when you save an invoice.", + "qas": [ + { + "id": "01653", + "is_impossible": false, + "question": "What option able not sets from which system?", + "answers": [ + { + "text": "Sequencing By, Enforce Document Sequencing, and Enforce Chronological Order on Document Date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides a table describing what is stamped on electronic payment when paper document numbering is disabled.", + "qas": [ + { + "id": "00964", + "is_impossible": false, + "question": "When paper document numbering is disabled, what is stamped on electronic payments?", + "answers": [ + { + "text": "Only payment reference numbers are stamped on electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments informs the source product that the documents payable aren't being paid.", + "qas": [ + { + "id": "00308", + "is_impossible": false, + "question": "What's the impact of removing a document from a payment process request?", + "answers": [ + { + "text": "It's not being paid and is ready for re-selection.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Banks might reject the payment files that are due for processing on a weekend or a holiday.\"", + "qas": [ + { + "id": "01307", + "is_impossible": false, + "question": "What could happens not payments file other result making materials before another sunday instead another holiday?", + "answers": [ + { + "text": "Banks might reject the payment files, and the payer might incur extra charges when the payment date changes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The incomplete invoices appear in the scanned information tile on the Invoices landing page.", + "qas": [ + { + "id": "00617", + "is_impossible": false, + "question": "Where do incomplete invoices go?", + "answers": [ + { + "text": "In the Scanned information tile on the Invoices landing page.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "\"More payment files may be created than needed\".", + "qas": [ + { + "id": "00787", + "is_impossible": false, + "question": "Immediate payment file creation has drawbacks.", + "answers": [ + { + "text": "More payment files might be created than necessary.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: You can load data to the payment requests interface tables using predefined templates and the Load Interface File for Import scheduled process.", + "qas": [ + { + "id": "00059", + "is_impossible": false, + "question": "How can you load data to the payment requests interface tables?", + "answers": [ + { + "text": "Using predefined templates and the Load Interface File for Import scheduled process.", + "answer_start": 11 + } + ] + } + ] + }, + { + "context": "Oracle's Imaging Solution offers cutting-edge intelligent recognition capabilities for extracting the invoice attributes from the scanned images. Unlike other solutions that use supplier-specific templates to extract information, Oracle's Imaging Solution can intelligently locate data within the invoice.", + "qas": [ + { + "id": "00071", + "is_impossible": false, + "question": "How does Oracle's Imaging Solution extract the invoice attributes from the scanned images?", + "answers": [ + { + "text": "By using cutting-edge intelligent recognition capabilities to locate data within the invoice, regardless of its location on the image and whether it has processed invoices from that supplier before.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"When you enable cash budgeting, the payment process happens only when there is sufficient balance in the account.", + "qas": [ + { + "id": "01908", + "is_impossible": false, + "question": "The money rationalization systems handle payments.", + "answers": [ + { + "text": "Only when there is a sufficient balance in the funds account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments informs the source product that the documents are not due.", + "qas": [ + { + "id": "01958", + "is_impossible": false, + "question": "What this which significant which remove another documents in another payments step request?", + "answers": [ + { + "text": "It's not being paid and is ready for re-selection.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Include Bills Payable Select whether to include bills payable invoices on the report.", + "qas": [ + { + "id": "00482", + "is_impossible": false, + "question": "What does the Include Bills Payable parameter do?", + "answers": [ + { + "text": "Select whether to include bills payable invoices on the report.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "Oracle Payables is integrated to the document repository to process scanned invoices.", + "qas": [ + { + "id": "01656", + "is_impossible": false, + "question": "How this Oracle Payables using take step digitized invoices?", + "answers": [ + { + "text": "It is integrated to the document repository.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Depending on how you set these options, a payment request might require your input before processing can complete.\"", + "qas": [ + { + "id": "00752", + "is_impossible": false, + "question": "Does setting certain options lead to automated processing?", + "answers": [ + { + "text": "No, depending on how you set these options, a payment process request might require your input before processing can complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payment business unit contains standard invoices, prepayments and credit memos for the same supplier name and site.", + "qas": [ + { + "id": "00892", + "is_impossible": false, + "question": "Payments are grouped in centralized processing.", + "answers": [ + { + "text": "By supplier name and site.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Payables Posted invoice register to review accounting lines for invoices that were transferred to the General Ledger.", + "qas": [ + { + "id": "01041", + "is_impossible": false, + "question": "What is the main purpose of the invoice register?", + "answers": [ + { + "text": "Use the Payables Posted Invoice Register to review accounting lines for invoices that were transferred to the general ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If a prepayment is matched to a purchase order, purchase order quantities are updated during prepayment application.", + "qas": [ + { + "id": "01179", + "is_impossible": false, + "question": "What change occurring from sale must quantity then another drop-out matching take another sale must this applied?", + "answers": [ + { + "text": "Purchase order quantities are updated during prepayment application.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "Then search for\nInvoice Document Recognition Tracking Report. \u00e2\u0080\u00a2 If you're testing the same invoice repeatedly, change the invoice account number in Payables to avoid duplicate\ninvoice number errors. Note: Oracle recommends that you don't repeat an invoice during testing.", + "qas": [ + { + "id": "00162", + "is_impossible": false, + "question": "Does Oracle recommend testing the same invoice repeatedly?", + "answers": [ + { + "text": "No, Oracle recommends that you don't repeat an invoice during testing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text describes CGI and its role in promoting ISO 20022.", + "qas": [ + { + "id": "01523", + "is_impossible": false, + "question": "What this CGI?", + "answers": [ + { + "text": "CGI is an organization that provides a forum to promote wider acceptance of ISO 20022 as the common XML standard used between corporate enterprises and banks.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text describes CGI and its role in promoting ISO 20022", + "qas": [ + { + "id": "00973", + "is_impossible": false, + "question": "What is it called?", + "answers": [ + { + "text": "CGI is an organization that provides a forum to promote wider acceptance of ISO 20022 as the common XML standard used between corporate enterprises and banks.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "With the Manage Payables Document Sequences task you can: Create a document sequence for the applicable determinant type: ledger or legal entity. Assign the sequence to one or more document sequence categories. Specify the ledgers or legal entities that the assignment applies to.", + "qas": [ + { + "id": "01104", + "is_impossible": false, + "question": "What functionality other provide also which Manage Payables Document Sequences task?", + "answers": [ + { + "text": "Create a document sequence for ledger or legal entity, assign the sequence to document sequence categories, and specify the ledgers or legal entities for the assignment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This is the budget date for the payment; it is the same as the payment date.\"", + "qas": [ + { + "id": "01900", + "is_impossible": false, + "question": "Cash rationalization handle which spending dates making payment.", + "answers": [ + { + "text": "It uses the payment date as the budget date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is an invoice that has invalid or missing data created from an invoice image.", + "qas": [ + { + "id": "00650", + "is_impossible": false, + "question": "What is an incomplete invoice?", + "answers": [ + { + "text": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can also use this report and the following reports to reconcile balances between Oracle Fusion Payables and the general ledger: \u0095 Payables Posted Invoice Register \u0095 Payables Trial Balance Report \u0095 Payables to General Ledger Reconciliation Report.", + "qas": [ + { + "id": "00494", + "is_impossible": false, + "question": "What reports can be used to reconcile balances between Oracle Fusion Payables and the general ledger?", + "answers": [ + { + "text": "Payables Posted Invoice Register, Payables Trial Balance Report, Payables to General Ledger Reconciliation Report.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Immediate payment file creation precludes grouping of similar payments that originated in different payment process requests into a single payment file.\"", + "qas": [ + { + "id": "00256", + "is_impossible": false, + "question": "When you create payment files immediately, what might be a drawback?", + "answers": [ + { + "text": "Grouping of similar payments from different requests into a single file might be precluded.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When paper document numbering for electronic payments is enabled, both payment document numbers and payment reference numbers are stamped on electronic payments.", + "qas": [ + { + "id": "01503", + "is_impossible": false, + "question": "What happen then printed documents numbered making digital payment this enabled?", + "answers": [ + { + "text": "Payment document numbers and payment reference numbers are stamped on electronic payments.", + "answer_start": 10 + } + ] + } + ] + }, + { + "context": "Perform the following steps to set up the automatic import of bank statement file: 1. Set up Payment System: Represents the financial institute or bank in Oracle Fusion Payments", + "qas": [ + { + "id": "02162", + "is_impossible": false, + "question": "How ca I sets down gear banks saying files import?", + "answers": [ + { + "text": "Set up Payment System which represents the financial institute or bank in Oracle Fusion Payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Details are provided in the \"Complete and Approve All Transactions and Payment Files\" section.", + "qas": [ + { + "id": "00440", + "is_impossible": false, + "question": "What processes should be run to complete and approve all transactions and payment files?", + "answers": [ + { + "text": "Run processes like Import Payables Invoice, Update Matured Bills Payable Status, Apply Missing Conversion Rates, and submit payment process requests and invoice and payment registers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The bell notification appears when the payment batch stops for a required action or when the payment processing is complete...", + "qas": [ + { + "id": "02010", + "is_impossible": false, + "question": "Payment recognized reed 9-1-1 other then them appear?", + "answers": [ + { + "text": "The bell notification appears when the payment batch stops for a required action or when the payment processing is complete.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides examples of mandatory grouping options and their mappings to ISO 20022 elements.", + "qas": [ + { + "id": "02076", + "is_impossible": false, + "question": "What other many example which requirement bloc options?", + "answers": [ + { + "text": "Examples include payment date mapped to requested execution date, and disbursement bank account mapped to debtor account, debtor, and debtor agent.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the social link on the Check Installments page to invite your manager to a discussion about adding installments to a payment process request. ", + "qas": [ + { + "id": "02003", + "is_impossible": false, + "question": "Is this possibility take using education messaging take getting approved making added instalments take another payments step request?", + "answers": [ + { + "text": "Use the Social link on the Review Installments page to invite your manager to a conversation.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Collaboration Messaging Framework (CMK) provides a simplified way to set up B2B communications within the procure to pay business flow.", + "qas": [ + { + "id": "01744", + "is_impossible": false, + "question": "What this which roles which which CMK?", + "answers": [ + { + "text": "CMK provides a simplified way to set up B2B communication within the procure-to-pay business flow.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors by terminating the entire payment process request.", + "qas": [ + { + "id": "00859", + "is_impossible": false, + "question": "When might you stop the entire payment process request?", + "answers": [ + { + "text": "When encountering validation errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When the approvers respond, notifications are sent to the\nnext set of approvers. This process repeats until all approvals are complete. Note: Approvers can respond from the email notification, the Worklist notifications page, the Invoices landing page,\nor the Edit Invoice page.", + "qas": [ + { + "id": "01272", + "is_impossible": false, + "question": "From in able approvers responding take approved notifications?", + "answers": [ + { + "text": "Approvers can respond from the email notification, the Worklist notifications page, the Invoices landing page, or the Edit Invoice page.", + "answer_start": 22 + } + ] + } + ] + }, + { + "context": "You can create invoices through a spreadsheet using the Create Invoice in Spreadsheet task. From the spreadsheet you can also submit the invoice import process.", + "qas": [ + { + "id": "00020", + "is_impossible": false, + "question": "How can you create invoices in Oracle Fusion Payables using a spreadsheet?", + "answers": [ + { + "text": "You can create invoices through the Create Invoice in Spreadsheet task and then submit the invoice import process from the spreadsheet.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "After you finish preparing the data in the spreadsheet: 1. Click the Generate CSV File button, on Instructions and CSV Generation tab, to generate a ZIP file containing 3 CSV files. 2. Transfer the generated ZIP file to WebCenter document repository (UCM). Select fin$/cashManagement$/import$ account. 3. Submit the ESS job Load Interface File for Import process. 4. In the Process Details screen, for the Import Process, select Cash Position Data Transfer and for Data File, select the name of the ZIP file that was transferred to the fin$/cashManagement$/import$ repository in the UCM. The data from the ZIP file will be loaded to the interface tables CE_CP_STMT_HEADERS_INT, CE_CP_STMT_LINES_INT and CE_CP_SYS_TRX_INT. 5. The data from the ZIP file will be loaded to the interface tables CE_CP_STMT_HEADERS_INT, CE_CP_STMT_LINES_INT and CE_CP_SYS_TRX_INT. After the ESS Job Load Interface File for Import is completed successfully, the Cash Position Data Transfer ESS job will be automatically invoked. This process imports the data from the interface tables into the Cash Position Transaction Cube.", + "qas": [ + { + "id": "01647", + "is_impossible": false, + "question": "How this which Cash Position Data Import Processed?", + "answers": [ + { + "text": "Generate a ZIP file containing 3 CSV files, transfer the ZIP file to WebCenter document repository, submit the ESS job Load Interface File for Import process, select Cash Position Data Transfer for the Import Process and the name of the ZIP file for Data File, and the data will be loaded to the specified interface tables. After that, the Cash Position Data Transfer ESS job will be automatically invoked to import the data into the Cash Position Transaction Cube.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "At the time of creating a project-related invoice, you must use the following data: project number, task number, expenditure type, expenditure organisation", + "qas": [ + { + "id": "00649", + "is_impossible": false, + "question": "What attributes are required for project-related invoices?", + "answers": [ + { + "text": "You must use the following details when creating a project-related invoice: Project Number, Task Number, Expenditure Type, Expenditure Organization.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The integrated invoice imaging solution for Oracle Cloud provides scanned image import, intelligent character recognition, and automatic invoice creation.", + "qas": [ + { + "id": "01161", + "is_impossible": false, + "question": "What if which systems 25-cent optical process making Oracle Cloud provide?", + "answers": [ + { + "text": "Scanned image import, intelligent character recognition, and automatic invoice creation.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "You can take the following action with skipped numbered payment documents: Save them for a future single payment, save them for a manual payment, destroy the paper document and void it in Oracle Fusion Cash Management on the Edit Bank Account page.", + "qas": [ + { + "id": "00381", + "is_impossible": false, + "question": "What actions can I take with a skipped numbered payment document?", + "answers": [ + { + "text": "You can save it for a future single or manual payment, or destroy the paper document and void it in Oracle Fusion Cash Management.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A payment process request is a group of installments submitted for payment. You can submit a payment process request on the Submit Payment Process Request page.", + "qas": [ + { + "id": "01278", + "is_impossible": false, + "question": "What this another payments step request?", + "answers": [ + { + "text": "A payment process request is a group of installments submitted for payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "In this FBDI spreadsheet, only invoices with the type: payment request can be entered.", + "qas": [ + { + "id": "00605", + "is_impossible": false, + "question": "What types of invoices can be entered into the spreadsheet?", + "answers": [ + { + "text": "Only invoices with the type: Payment Request.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "You can set the following leadger options: Sequencing By: Enables document sequencing for the ledger or legal entities associated with the ledger. Enforce document sequence: If set to Payables, indicates that invoices and payments require voucher numbers.", + "qas": [ + { + "id": "01665", + "is_impossible": false, + "question": "What option able not sets from which system?", + "answers": [ + { + "text": "Sequencing By, Enforce Document Sequencing, and Enforce Chronological Order on Document Date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Users with the Accounts Payable Supervisor role can cancel unsubmitted supplier portal invoices.", + "qas": [ + { + "id": "00495", + "is_impossible": false, + "question": "Who can cancel unsubmitted supplier portal invoices?", + "answers": [ + { + "text": "Users with the Accounts Payable Supervisor role.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"If the financial category isn't assigned to any natural account values in the chart of accounts the process fails.\"", + "qas": [ + { + "id": "01010", + "is_impossible": false, + "question": "If the Financial Category is not assigned to account values, what happens?", + "answers": [ + { + "text": "The reconciliation process fails.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "While another account is used to assign the expenses in the interim account until the entire expenditure is recognized. This account is called the multiperiod accrual account.", + "qas": [ + { + "id": "00083", + "is_impossible": false, + "question": "What is the role of the multiperiod accrual account?", + "answers": [ + { + "text": "It is used to assign the expenses in the interim account until the entire expenditure is recognized.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Include Intercompany Transactions: You can include or exclude intercompany transactions.\"", + "qas": [ + { + "id": "00461", + "is_impossible": false, + "question": "How can you include or exclude intercompany transactions in the reconciliation?", + "answers": [ + { + "text": "By selecting the appropriate option for Include Intercompany Transactions and possibly restricting the account range.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "This is suggested in the section on \"Reconcile Payables Activity for Period\".", + "qas": [ + { + "id": "00994", + "is_impossible": false, + "question": "How can you reconcile Payables activity?", + "answers": [ + { + "text": "Using reports like Payables Trial Balance, Payables Posted Invoice Register, Payables Posted Payment Register, Payables to Ledger Reconciliation report, and Payables Open Items Revaluation report.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Download the spreadsheet template to prepare cash position data. The template contains an instruction sheet to help guide you through the process. 3. Click Cash Management Cash Position Data Import. 4. Click the link to the Excel template in the File Links section.", + "qas": [ + { + "id": "02195", + "is_impossible": false, + "question": "How able 'll using which templates take preparing my money determined data?", + "answers": [ + { + "text": "Navigate to the File-Based Data Import for Oracle Financials Cloud guide, click File-Based Data Imports, click Cash Management Cash Position Data Import, and click the link to the Excel template in the File Links section.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Resubmit for approval Only when the payment process request status is Withdrawn from payments approval and Error in payments approval. Reinitiates the payment", + "qas": [ + { + "id": "01437", + "is_impossible": false, + "question": "What this which changes which which \"Resubmit making approval\" action?", + "answers": [ + { + "text": "Reinitiates the payment approval process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is one created from an invoice document which has invalid or missing data. By default, all users with the roles of account payable specialist and account payable supervisor receive incomplete invoices routed to them for review and completion ; for AP Supervisor and AP Manager roles, these incomplete invoices appear in the Scanned Information Tile, grouped by the creation date.", + "qas": [ + { + "id": "00715", + "is_impossible": false, + "question": "Where do incomplete invoices go for AP Manager roles?", + "answers": [ + { + "text": "For AP Supervisor and AP Manager roles, these incomplete invoices appear in the Scanned Information tile, grouped by creation date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "On the Manage Invoice Options page you can set payment options, such as whether to show available prepayments during the bill entry.", + "qas": [ + { + "id": "01724", + "is_impossible": false, + "question": "Where able 'll modifying drop-out settings?", + "answers": [ + { + "text": "On the Manage Invoice Options page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Assuming rental expenses are evenly divided over 3 months and the monthly account calendar is used.", + "qas": [ + { + "id": "01738", + "is_impossible": false, + "question": "What this which divided which which rentals expenses?", + "answers": [ + { + "text": "The rental expenses are split evenly over the 3 months.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can take the following actions with skipped payment documents: save them for a future single payment, save them for a manual payment, destroy the paper document and void it in Oracle Fusion Cash Management on the page Edit Bank Account.", + "qas": [ + { + "id": "00931", + "is_impossible": false, + "question": "What actions can I take with a skipped payment document?", + "answers": [ + { + "text": "You can save it for a future single or manual payment, or destroy the paper document and void it in Oracle Fusion Cash Management.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can click the links provided on the Payment File page to access the payment reports. These links give you direct access to the Separate Remittance Advice report, the Positive Pay report, and the Payment File Register report.", + "qas": [ + { + "id": "00374", + "is_impossible": false, + "question": "How can I access payment reports after generating a payment file?", + "answers": [ + { + "text": "Click the links on the \"Payment File\" page to access the payment reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Payments are built into the fewest number of payment files...\"", + "qas": [ + { + "id": "00270", + "is_impossible": false, + "question": "How are payments grouped in scheduled creation?", + "answers": [ + { + "text": "Into the fewest files.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The invoices with account code status are not selected for invoice validation because they are in the process of entering accounting information.", + "qas": [ + { + "id": "00678", + "is_impossible": false, + "question": "Why weren't my invoices picked up for validation?", + "answers": [ + { + "text": "Invoices with the account coding status of Initiated aren't picked for invoice validation due to them being in the process of entering accounting information.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "By using the Cancel Invoice action, you can cancel multiple invoices at the same time.", + "qas": [ + { + "id": "00694", + "is_impossible": false, + "question": "Is it possible to cancel multiple invoices?", + "answers": [ + { + "text": "You can cancel multiple invoices at the same time by using the Cancel Invoice action.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the FBDI template for Import Payables Invoices process to create invoices from invoice records in the Oracle Fusion Payables open interface tables.", + "qas": [ + { + "id": "01121", + "is_impossible": false, + "question": "Which templates must not using making which Import Payables Invoices step from Oracle Fusion Payables?", + "answers": [ + { + "text": "The FBDI template.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "\"This report can only be run for the Primary ledger and for non-adjustment periods. To view the report, you must select a ledger and request name...\"", + "qas": [ + { + "id": "00464", + "is_impossible": false, + "question": "What are the requirements for running the Payables to Ledger Reconciliation report?", + "answers": [ + { + "text": "It can only be run for the Primary ledger and for non-adjustment periods. A ledger and request name must be selected.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A stop payment request records the dates that a stop payment order was placed with, or released from, a financial institution. For example: A supplier tells you that they didn't receive a payment...", + "qas": [ + { + "id": "01446", + "is_impossible": false, + "question": "What's another stopping payments request?", + "answers": [ + { + "text": "A stop payment request records the dates that a stop payment order was placed with, or released from, a financial institution.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can use the ERP Integration web service for importing transactions to achieve automated processing.", + "qas": [ + { + "id": "01157", + "is_impossible": false, + "question": "How able 'll achieving computerized materials making imported transactions?", + "answers": [ + { + "text": "Use the ERP Integration web service.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "The Hold Infotile indicates the types of holds that are placed on the invoice.", + "qas": [ + { + "id": "00596", + "is_impossible": false, + "question": "What information does the Holds infotile give about the invoices?", + "answers": [ + { + "text": "It indicates the types of holds placed on the invoice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Review invoices with assigned sequential voucher numbers.\"", + "qas": [ + { + "id": "00429", + "is_impossible": false, + "question": "What is the purpose of the Payables Invoice Audit by Voucher Number Listing report?", + "answers": [ + { + "text": "To review invoices with assigned sequential voucher numbers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Since you're creating an ISO payment process profile, you must select transaction grouping rules on the Grouping tab. Grouping is based on the ISO standardized method of grouping transactions in each transmission file.", + "qas": [ + { + "id": "01473", + "is_impossible": false, + "question": "What's which significance which which \"Grouping\" click then create a ISO payments step profile?", + "answers": [ + { + "text": "You must select transaction grouping rules as grouping is based on the ISO standardized method of grouping transactions in each transmission file.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can set the following ledger options: Sequencing By: Enables document sequencing for the ledger or legal entities associated with that ledger. Enforce Document Sequencing: When set to Payables, indicates that invoices and payments require voucher numbers. Enforce Chronological Order on Document Date: Checks the accounting date on the invoice header when you save an invoice.", + "qas": [ + { + "id": "00025", + "is_impossible": false, + "question": "What ledger options can be set in the system?", + "answers": [ + { + "text": "Sequencing By, Enforce Document Sequencing, and Enforce Chronological Order on Document Date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The payer is the party who receives payment, whether the payee is a third-party or the invoicing supplier, the validations performed on the payee attributes in the same manner.", + "qas": [ + { + "id": "00907", + "is_impossible": false, + "question": "When I create a third-party payment, what happens to payment validations?", + "answers": [ + { + "text": "Validations on payee attributes perform the same way.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you choose not to reprint, mark the numbered payment document as spoiled on the Record Print Status page and then destroy the paper document.", + "qas": [ + { + "id": "01491", + "is_impossible": false, + "question": "What must I ca not I deciding be take hardcover another lucky numbering payments document?", + "answers": [ + { + "text": "Mark the document as spoiled on the Record Print Status page and destroy the paper document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Business Unit: Use this parameter to reconcile by a specific organization... Don't specify a business unit if you implemented centralized payment processing using the service provider model.\"", + "qas": [ + { + "id": "00458", + "is_impossible": false, + "question": "What should be considered when specifying the Business Unit parameter in the reconciliation process?", + "answers": [ + { + "text": "Explicitly map business units to balancing segment values; do not specify a business unit if using centralized payment processing.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can run this report from the Reports and Analytics work area.\"", + "qas": [ + { + "id": "01530", + "is_impossible": false, + "question": "Where able 'll running which Payables Invoice Audit also Voucher Number Listing report?", + "answers": [ + { + "text": "From the Reports and Analytics work area.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "Add the name of the defined hold of the currently available list of lookup codes, which restricts the inclusion of invoices into the automatic initiation of the invoice account coding workflow.", + "qas": [ + { + "id": "00680", + "is_impossible": false, + "question": "Is it possible to restrict invoices with user defined holds?", + "answers": [ + { + "text": "Add the user defined holds as a lookup code to the lookup type: ORA_AP_ACCOUNT_CODING_HOLDS.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can designate a prepayment as inclusive by selecting the Included on Invoice option when applying the prepayment.", + "qas": [ + { + "id": "00078", + "is_impossible": false, + "question": "How can you designate a prepayment as inclusive?", + "answers": [ + { + "text": "By selecting the Included on Invoice option when applying the prepayment.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "Subledger Accounting uses predefined accounting event classes and accounting event types. You can modify your accounting setup to create accounting for some events and not for others.", + "qas": [ + { + "id": "00366", + "is_impossible": false, + "question": "What are Payables Event Classes and Types in Oracle Fusion?", + "answers": [ + { + "text": "They are predefined accounting event classes and accounting event types used by Subledger Accounting.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Base amounts for transactions are stored only in the currency of the primary ledger.", + "qas": [ + { + "id": "01577", + "is_impossible": false, + "question": "What other bases amount making trades storing in?", + "answers": [ + { + "text": "Base amounts for transactions are stored only in the currency of the primary ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Invoices landing page to perform various tasks when processing invoices. You can focus on invoices that require your attention through one of the 6 info tiles displayed on the Invoices landing page.", + "qas": [ + { + "id": "00032", + "is_impossible": false, + "question": "What is the main purpose of the Invoices landing page?", + "answers": [ + { + "text": "To perform various tasks when processing invoices.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "Document sequences are unique numbers that are automatically or manually assigned to a created and saved document. You can sequence invoices and payments by assigning them voucher numbers.", + "qas": [ + { + "id": "01112", + "is_impossible": false, + "question": "What other documents sequence from implies take phony well payments?", + "answers": [ + { + "text": "Document sequences are unique numbers that are automatically or manually assigned to a created and saved document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A prepayment invoice can be partially paid, but it cannot be applied to a standard invoice or expense report. In order to apply a prepayment to a standard invoice or expense report it must be fully paid. Until it is fully paid, the status of the prepayment remains unpaid.", + "qas": [ + { + "id": "01770", + "is_impossible": false, + "question": "Why later which drop-out invoice's recognized displaying also be paid?", + "answers": [ + { + "text": "Though prepayment is paid partially the status is shown as unpaid on the invoice workbench. This is intended behavior.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can use the invoice landing page to perform various tasks when processing invoices: You can concentrate on invoices that require your attention through one of the 6 info tiles shown on the invoice landing page.", + "qas": [ + { + "id": "00561", + "is_impossible": false, + "question": "Users can focus on specific invoices on the Invoices landing page.", + "answers": [ + { + "text": "Through one of the 6 info tiles displayed.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"More payment files are likely to be created than necessary.\"", + "qas": [ + { + "id": "01911", + "is_impossible": false, + "question": "The out which creation?", + "answers": [ + { + "text": "More files might be created.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The first step is to set up a payment process profile that contains all the necessary details to manage the payment process. You will create an ISO payment process profile on the page Manage Payment Process Profiles, in the search results section, click Add... Search and select the ISO20022 Common Global Implementation Format... Select the Payment System tab... Select the Payment tab... Select the Grouping tab... Select the Reporting tab...", + "qas": [ + { + "id": "00921", + "is_impossible": false, + "question": "How do I create an ISO payment process?", + "answers": [ + { + "text": "Begin by signing in as a setup user, then navigate to the \"Manage Payment Process Profiles\" page under Financials. From there, add a new profile, specify its attributes, and complete the setup.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Use this report to forecast immediate cash needs for invoice payments.\"", + "qas": [ + { + "id": "00435", + "is_impossible": false, + "question": "What is the purpose of the Payables Cash Requirement Report?", + "answers": [ + { + "text": "To forecast immediate cash needs for invoice payments.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "The incomplete invoices appear in the scanned information tile on the Invoices landing page.", + "qas": [ + { + "id": "01717", + "is_impossible": false, + "question": "Where ca incorrect phony go?", + "answers": [ + { + "text": "In the Scanned information tile on the Invoices landing page.", + "answer_start": 4 + } + ] + } + ] + }, + { + "context": "Payments always terminate process request. anyone. Terminates payment process.", + "qas": [ + { + "id": "00891", + "is_impossible": false, + "question": "What is the result of theinate payment process request?", + "answers": [ + { + "text": "The payment process is terminated.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: Oracle recommends that you don't repeat an invoice during testing. You should only test with as many\nunique invoices as possible. \u00e2\u0080\u00a2 Choose at least 25 suppliers and process 2-3 invoices for each of these suppliers.", + "qas": [ + { + "id": "00163", + "is_impossible": false, + "question": "How many suppliers should you choose for testing and how many invoices per supplier?", + "answers": [ + { + "text": "Choose at least 25 suppliers and process 2-3 invoices for each of these suppliers.", + "answer_start": 23 + } + ] + } + ] + }, + { + "context": "\"Installment selection Pending installments review Requires a manual review because the option to review installments is active.\"", + "qas": [ + { + "id": "00203", + "is_impossible": false, + "question": "What might require user action during the \"Installment selection\" stage with a \"Pending installments review\" status?", + "answers": [ + { + "text": "It requires a manual review because the option to review installments is active.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "In the Separate Remittance Advice section, from the Format choice list, select Separate Remittance Advice Format. 28. Select these check boxes: Automatically submit when payments are confirmed and Allow multiple copies for payment file. 29. From the Condition choice list, select All payments. 30. From the Delivery Method choice list, select E-Mail. 31. Click Save and Close.", + "qas": [ + { + "id": "01475", + "is_impossible": false, + "question": "How able I sets down another Separate Remittance Advice section?", + "answers": [ + { + "text": "Choose \"Separate Remittance Advice Format\" from the Format choice list, select the check boxes for \"Automatically submit when payments are confirmed\" and \"Allow multiple copies for payment file\", set the Condition to \"All payments\", and the Delivery Method to \"E-Mail\". Then save your changes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Remove one or more payable documents from a payment that is included in the request of payment.", + "qas": [ + { + "id": "01957", + "is_impossible": false, + "question": "Specific documents issue able not address entire another payments step request.", + "answers": [ + { + "text": "Remove problematic documents payable.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors on the Resolve Payment Validation Errors page.", + "qas": [ + { + "id": "00305", + "is_impossible": false, + "question": "Why might you want to remove payments from a payment process request?", + "answers": [ + { + "text": "To resolve validation errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Create a new payment process request template... Payment Date and Pay Through Date based on this transaction calendar.\"", + "qas": [ + { + "id": "00209", + "is_impossible": false, + "question": "How can you associate a transaction calendar with a payment process request template?", + "answers": [ + { + "text": "Create a new payment process request template or edit an existing one and select the transaction calendar you defined in the Transaction Calendar field.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To use the integrated invoice image solution, you must have a designated email to send the invoice images - a digital one that you get when you sign up for Oracle Cloud Application Service.", + "qas": [ + { + "id": "00613", + "is_impossible": false, + "question": "How can one use the solution?", + "answers": [ + { + "text": "By having a designated email to send the invoice images, which is provided upon signing up for the Oracle Cloud Application Service.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The application deletes the existing intraday bank statement and imports the cumulative statement.", + "qas": [ + { + "id": "02170", + "is_impossible": false, + "question": "What this which procedures making handled banks statements?", + "answers": [ + { + "text": "The application deletes the existing intraday bank statement and imports the cumulative statement.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For each automatic reconciliation rule the exceptions are sought in the following order: 1. Ambiguous 2. Date 3. Amount...", + "qas": [ + { + "id": "02180", + "is_impossible": false, + "question": "What must other which exception seemed for?", + "answers": [ + { + "text": "The order is Ambiguous, Date, and Amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Upload Banks, Branches, and Accounts process will match an uploaded .csv file to the existing bank and branch data and find the differences between the two. Oracle ERP Cloud then inserts or updates the bank and branch data based on the differences found.", + "qas": [ + { + "id": "01604", + "is_impossible": false, + "question": "What this which purposes which which Upload Banks, Branches, well Accounts process?", + "answers": [ + { + "text": "To match an uploaded .csv file to the existing bank and branch data, find the differences, and then insert or update the bank and branch data based on the differences found.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Consider enabling this option for spontaneous payment runs...\"", + "qas": [ + { + "id": "01336", + "is_impossible": false, + "question": "Why could 'll enabling possible payments files creation?", + "answers": [ + { + "text": "For spontaneous payment runs without waiting for a scheduled process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "External cash transactions are transactions related to cash activity that haven't been recorded in the applications. The sources of external transactions are: \u0095 Manual Entry \u0095 Import \u0095 Balancing Transactions...", + "qas": [ + { + "id": "01623", + "is_impossible": false, + "question": "What other which source which internal money transactions?", + "answers": [ + { + "text": "The sources are Manual Entry, Import, Balancing Transactions, Bank Statement, Bank Account Transfer, Ad Hoc Payment, and Reversal Reconciliation.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Additionally, the invoice validation is initiated only if the invoice has a distribution variance hold and doesn't have the following holds: \u0095 Line variance \u0095 Duplicate invoice matching required \u0095 Invoice cancel \u0095 Inactive distribution set \u0095 Cannot generate distributions \u0095 Invalid default distribution combination \u0095 Invalid PO \u0095 PO not approved \u0095 Final matching \u0095 Incomplete invoice", + "qas": [ + { + "id": "01229", + "is_impossible": false, + "question": "When ca phony getting allows establishment making which 25-cent accounts encoding workflow?", + "answers": [ + { + "text": "Only invoices that have gone through the Invoice Validation process are initiated automatically for the invoice account coding workflow.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following protocols are supported for connecting and retrieving a file from the bank server : Secure File Transfer Retrieval Protocol for Static File Names (SFTP_GET) The bank provides the server details including SFTP server host / IP, port, credentials.", + "qas": [ + { + "id": "02163", + "is_impossible": false, + "question": "What protocol other using making retrieve another files in another banks server?", + "answers": [ + { + "text": "Secure File Transfer Retrieval Protocol for Static File Names (SFTP_GET).", + "answer_start": 15 + } + ] + } + ] + }, + { + "context": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that were transferred to the general ledger.", + "qas": [ + { + "id": "00483", + "is_impossible": false, + "question": "What does the trial balance list and subtotal?", + "answers": [ + { + "text": "The trial balance lists and subtotals, by supplier and liability account, all unpaid and partially paid invoices that were transferred to the general ledger.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To set up sequencing for invoices and payments, perform the following tasks: Specify Ledger Options, Manage Payables Document Sequences, (Optional) Manage Invoice Options, (Optional) Manage Payment Options.", + "qas": [ + { + "id": "01113", + "is_impossible": false, + "question": "What task other responsible from set down genome making phony well payments?", + "answers": [ + { + "text": "Specify Ledger Options, Manage Payables Document Sequences, Manage Invoice Options (optional), and Manage Payment Options (optional).", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides examples of mandatory grouping options and their mappings to ISO 20022 elements.", + "qas": [ + { + "id": "01526", + "is_impossible": false, + "question": "What other many example which requirement bloc option well own mappings?", + "answers": [ + { + "text": "Examples include payment date mapped to requested execution date, and disbursement bank account mapped to debtor account, debtor, and debtor agent.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "With the Manage Payables Document Sequences task you can: Create a document sequence for the applicable determinant type: ledger or legal entity. Assign the sequence to one or more document sequence categories. Specify the ledgers or legal entities that the assignment applies to.", + "qas": [ + { + "id": "01116", + "is_impossible": false, + "question": "What functionality other provide also which Manage Payables Document Sequences task?", + "answers": [ + { + "text": "Create a document sequence for ledger or legal entity, assign the sequence to document sequence categories, and specify the ledgers or legal entities for the assignment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Summary option: Select the level of invoice information to report.\"", + "qas": [ + { + "id": "00988", + "is_impossible": false, + "question": "What does the summary option do?", + "answers": [ + { + "text": "It determines the level of invoice information to report, either listing unpaid or partially paid invoices, or just listing the payment amount due.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Invoice As-of Date Specify the date for the liability account.", + "qas": [ + { + "id": "02129", + "is_impossible": false, + "question": "What this which purposes which which malpractice account?", + "answers": [ + { + "text": "Specify the date for the liability account.", + "answer_start": 3 + } + ] + } + ] + }, + { + "context": "The text mentions that the application generates a unique payment reference number for each payment.", + "qas": [ + { + "id": "00411", + "is_impossible": false, + "question": "What unique identifier is generated for each payment?", + "answers": [ + { + "text": "A unique payment reference number is generated for each payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\u201cUse the Reconciliation Data Purge Frequency profile option to set the number of days to keep reconciliation data.", + "qas": [ + { + "id": "02101", + "is_impossible": false, + "question": "What this which Reconciliation Data Purge Frequency recent using for?", + "answers": [ + { + "text": "To specify the number of days to keep reconciliation data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "For invoices requiring budgetary control, canceling an invoice also reverses the expenditure funds consumed, and for matched invoices, restores the previously obligated funds for the purchase order.", + "qas": [ + { + "id": "01211", + "is_impossible": false, + "question": "What happen not I postpone a invoice?", + "answers": [ + { + "text": "Canceling an invoice sets invoice and installment amounts to zero, reverses invoice distributions, and reverses matches to purchase order schedules and distributions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you don't use the option and the total credit amount is greater than the total standard invoice amount, no invoices are selected for payment.", + "qas": [ + { + "id": "01988", + "is_impossible": false, + "question": "If 'll don't using which centralised model, why happens?", + "answers": [ + { + "text": "No invoices are selected for payment.", + "answer_start": 19 + } + ] + } + ] + }, + { + "context": "The text provides a table describing what is stamped on electronic payments when paper document numbering is enabled.", + "qas": [ + { + "id": "00963", + "is_impossible": false, + "question": "When paper document numbering is enabled, what is stamped on electronic payments?", + "answers": [ + { + "text": "Payment document numbering and payment reference numbers are stamped on electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "A self-service invoice is an invoice that a supplier enters through Oracle Fusion Supplier Portal. Whether the supplier matches the invoice to a purchase order or consumption advice determines the resulting invoice type in Oracle Fusion Payables. A matched invoice becomes an invoice request, which must be approved using the invoice approval workflow.", + "qas": [ + { + "id": "01747", + "is_impossible": false, + "question": "What this another kiosk invoice?", + "answers": [ + { + "text": "A self-service invoice is an invoice that a supplier enters through Oracle Fusion Supplier Portal. Whether the supplier matches the invoice to a purchase order or consumption advice determines the resulting invoice type in Oracle Fusion Payables. A matched invoice becomes a standard invoice or credit memo. An unmatched invoice becomes an invoice request, which must be approved using the Invoice Approval workflow. Once approved, the invoice request then becomes a standard invoice or credit memo.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "These points are listed in the \"Considerations For Setting Up for Payables to General Ledger Reconciliation\" section.", + "qas": [ + { + "id": "01547", + "is_impossible": false, + "question": "What must not regarded then set down Oracle Fusion Payables take General Ledger reconciliation?", + "answers": [ + { + "text": "Consider points like reconciling by Business Unit or Ledger, assigning the Financial Category, setting the Reconciliation Data Purge Frequency Profile Option, and configuring User Security.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To create payment files immediately, select the option -- to create payment files immediately...\"", + "qas": [ + { + "id": "00785", + "is_impossible": false, + "question": "How can you set up a request for payment?", + "answers": [ + { + "text": "Select the \"Create payment files immediately\" option on the template or submission pages.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "These points are listed in the \"Considerations For Setting Up for Payables to General Ledger Reconciliation\" section.", + "qas": [ + { + "id": "00447", + "is_impossible": false, + "question": "What should be considered when setting up Oracle Fusion Payables to General Ledger reconciliation?", + "answers": [ + { + "text": "Consider points like reconciling by Business Unit or Ledger, assigning the Financial Category, setting the Reconciliation Data Purge Frequency Profile Option, and configuring User Security.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"If you don't use the option, and the total credit amount for a payment process request is greater than the total standard invoice amount, no invoices are selected for payment and the payment process request terminates.\"", + "qas": [ + { + "id": "01383", + "is_impossible": false, + "question": "What happen not 'll don't using it options well loans exceeding invoices?", + "answers": [ + { + "text": "No invoices are selected and the payment request terminates.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Create a credit or debit memo for a negative quantity correction, and a standard invoice for a positive amount correction.", + "qas": [ + { + "id": "01776", + "is_impossible": false, + "question": "What this a amounts correction?", + "answers": [ + { + "text": "An amount correction is a supplier invoice that adjusts the amount of either an unmatched invoice, or an invoice that's matched to a services-based purchase order or receipt.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Provide a business calendar on the payment process request template so that holidays can be excluded while payment processing can be scheduled.\"", + "qas": [ + { + "id": "00756", + "is_impossible": false, + "question": "The Payment Process Request template requires a business calendar.", + "answers": [ + { + "text": "To exclude holidays while scheduling payment processing and to skip weekends and holidays while calculating pay through days and payment date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: If you enable the Require invoice grouping option on the Manage Invoice Options page, you must associate each invoice with an invoice group.", + "qas": [ + { + "id": "01237", + "is_impossible": false, + "question": "What's a 25-cent group?", + "answers": [ + { + "text": "An invoice group is a collection of invoices that the application uses as: \u0095 A parameter for the Validate Payables Invoices process \u0095 A parameter for some payables reports \u0095 One of the selection criteria for a payment process request", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To create payment files immediately, select the option to create payment files immediately...\"", + "qas": [ + { + "id": "00809", + "is_impossible": false, + "question": "How to allow immediate payment file creation?", + "answers": [ + { + "text": "Select \"Create payment files immediately\".", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Recent invoices that were updated or created in the last days are displayed.", + "qas": [ + { + "id": "00045", + "is_impossible": false, + "question": ". What is the time frame for the invoices displayed in the \"Recent\" category?", + "answers": [ + { + "text": "Invoices that were updated or created in the last days.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "The amount of payables starting balance should match the balance of the Payables trial balance report for the last day of the previous period, while the balance of the Payables ending balance should comply with the balance of the Payables trial balance report for the last day of the period being reconciled.", + "qas": [ + { + "id": "02119", + "is_impossible": false, + "question": "How able 'll reconciling which Payables Begin well End Balance audit amounts?", + "answers": [ + { + "text": "They should agree with the Payables Trial Balance report for the respective periods.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: If you enable the option Require invoice grouping on the Manage Invoice Options page, you must associate each invoice with an invoice group.", + "qas": [ + { + "id": "01756", + "is_impossible": false, + "question": "What this a 25-cent group?", + "answers": [ + { + "text": "An invoice group is a collection of invoices that the application uses as: \u0095 A parameter for the Validate Payables Invoices process \u0095 A parameter for some payables reports \u0095 One of the selection criteria for a payment process request", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you need to assign attributes individually, use the Assign Attributes at Document Payable Level page.", + "qas": [ + { + "id": "00294", + "is_impossible": false, + "question": "How to assign attributes to a document?", + "answers": [ + { + "text": "Navigate to the Assign Attributes at Document Payable Level page.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How the data is imported into Bank Statement Reconciliation After you've prepared the data in the spreadsheet, follow these steps: 1. Click the CSV file generate button to generate a.zip file containing the CSV file...", + "qas": [ + { + "id": "02183", + "is_impossible": false, + "question": "The banks saying peace information this imported.", + "answers": [ + { + "text": "After preparing the data in the spreadsheet, a .zip file containing the CSV file is generated by clicking the Generate CSV File button. The ESS job Load Interface File for Import is then submitted to load the CSV file. The process automatically imports the reconciliation data from the .zip file into the interface table CE_EXTERNAL_RECON_INT and automatically reconciles the grouped transactions. The automatic reconciliation output is reviewed to check the successfully reconciled groups and the exceptions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The section \"Submit unaccounted transactions and sweep process\" provides this information.", + "qas": [ + { + "id": "02093", + "is_impossible": false, + "question": "What if which Unaccounted Transactions well Sweep step do?", + "answers": [ + { + "text": "It transfers unaccounted transactions from one accounting period to another, and can change the accounting date of transactions to the next open period.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The chart of accounts, spreadsheet, legal entities and business units in a spreadsheet is an alternative method for creating document sequences.", + "qas": [ + { + "id": "00564", + "is_impossible": false, + "question": "What is an alternative way to create a document sequence?", + "answers": [ + { + "text": "The Create Chart of Accounts, Ledger, Legal Entities, and Business Units in Spreadsheet task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Subledger Accounting uses predefined accounting event classes and accounting event types that you can modify your accounting setup to create accounting for some events and not for others.", + "qas": [ + { + "id": "00916", + "is_impossible": false, + "question": "What are the types of Payables event classes?", + "answers": [ + { + "text": "They are predefined accounting event classes and accounting event types used by Subledger Accounting.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The One Time Payments feature allows you to import transactions from external systems as payment requests.", + "qas": [ + { + "id": "01700", + "is_impossible": false, + "question": "What ca 'll getting in which One Time Payments feature?", + "answers": [ + { + "text": "Import transactions from external systems as payment requests.", + "answer_start": 8 + } + ] + } + ] + }, + { + "context": "Parameters section under \"Payables Cash Requirement Report\".", + "qas": [ + { + "id": "00436", + "is_impossible": false, + "question": "What parameters are required for the Payables Cash Requirement Report?", + "answers": [ + { + "text": "Payment Business Unit, Template, Pay Through Date, Payment Date, Summary Option, and Include Unvalidated Invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Run the Prepare Payables to General Ledger Reconciliation process to select data for the Summary section of the Payables to Ledger Reconciliation Report.\"", + "qas": [ + { + "id": "01555", + "is_impossible": false, + "question": "What if which Prepare Payables take General Ledger Reconciliation step do?", + "answers": [ + { + "text": "It selects data for the Summary section of the Payables to Ledger Reconciliation Report.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can save skipped numbered payment documents for a future single payment, save them for a manual payment, or destroy the paper document and void it in Oracle Fusion Cash Management on the Edit Bank Account page.", + "qas": [ + { + "id": "00393", + "is_impossible": false, + "question": "Can I save a skipped numbered payment document for future use?", + "answers": [ + { + "text": "Yes, you can save it for a future single payment, a manual payment, or destroy it and void it in Oracle Fusion Cash Management.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Payables is integrated to the document repository for the processing of scanned invoices.", + "qas": [ + { + "id": "01668", + "is_impossible": false, + "question": "How this Oracle Payables using take step digitized invoices?", + "answers": [ + { + "text": "It is integrated to the document repository.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How Mass Reconciliation of Bank Statement Lines and System Transactions Is Processed You can perform mass reconciliation by selecting a large volume of system transactions... Import the Reconciliation Data into Oracle Cash Management Once you have the reconciliation details added to the statement lines, you can upload it using the Load Interface File for Import utility...", + "qas": [ + { + "id": "00534", + "is_impossible": false, + "question": "How can mass reconciliation of bank statement lines and system transactions be processed?", + "answers": [ + { + "text": "Mass reconciliation is performed by selecting a large volume of system transactions and bank statement lines, grouping and reconciling them using a spreadsheet. The unreconciled transactions are exported into a spreadsheet. The reconciliation data is prepared in the spreadsheet and imported into Oracle Cash Management using the FBDI template for Bank Statement Reconciliation Data Import. The Load Interface File for Import utility is used to upload the reconciliation details.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can create invoices through a spreadsheet using the Create Invoice in Spreadsheet task. From the spreadsheet you can also submit the invoice import process.", + "qas": [ + { + "id": "00030", + "is_impossible": false, + "question": "How can you create invoices in Oracle Fusion Payables using a spreadsheet?", + "answers": [ + { + "text": "You can create invoices through the Create Invoice in Spreadsheet task and then submit the invoice import process from the spreadsheet.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Create the payment requests by completing the following steps: 1. Prepare the data using the predefined XLSM template. 2. Generate the CSV file. 3. Transfer the data. 4. Load and import the data. 5. Reload the corrected data as necessary.", + "qas": [ + { + "id": "00610", + "is_impossible": false, + "question": "What are the steps to make a payment?", + "answers": [ + { + "text": "1. Prepare the data using the predefined XLSM template. 2. Generate the CSV file. 3. Transfer the data. 4. Load and import the data. 5. Reload the corrected data as necessary.", + "answer_start": 9 + } + ] + } + ] + }, + { + "context": "\"This application provides the dashboard to identify suitable suppliers for dynamic discounting.\"", + "qas": [ + { + "id": "01332", + "is_impossible": false, + "question": "Which applications identifying manufacturers making interaction discounting?", + "answers": [ + { + "text": "AI Apps for ERP.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "12. In the Validation Failure Handling Subsection select Stop Process from the Document Choice List For Review, 12. Select Stop Process From the Payment Choice List For Review", + "qas": [ + { + "id": "00929", + "is_impossible": false, + "question": "If the payment process request validation fails, what should I do?", + "answers": [ + { + "text": "Set both the Document and Payment choice lists to \"Stop process for review\".", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": " Banks could reject payment files due on a weekend or a holiday. ", + "qas": [ + { + "id": "01857", + "is_impossible": false, + "question": "If payments file other result before another sunday instead another holiday, why would happen?", + "answers": [ + { + "text": "Banks might reject the payment files, and the payer might incur extra charges when the payment date changes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Provide a business calendar on the payment process request template so that holidays can be excluded while payment processing can be scheduled.\"", + "qas": [ + { + "id": "01856", + "is_impossible": false, + "question": "The Payment Process Request templates require another industry calendar.", + "answers": [ + { + "text": "To exclude holidays while scheduling payment processing and to skip weekends and holidays while calculating pay through days and payment date.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you remove a payment from the payment file that has a payment file or formatting error validation, the validation error is no longer applicable.", + "qas": [ + { + "id": "02049", + "is_impossible": false, + "question": "How able which payment not removing in which file?", + "answers": [ + { + "text": "If removing a payment makes the validation error no longer applicable, the error is resolved.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you remove a payment from the payment file that has a payment file or formatting error validation, the validation error is no longer applicable.", + "qas": [ + { + "id": "00949", + "is_impossible": false, + "question": "How can the payments be removed from the file?", + "answers": [ + { + "text": "If removing a payment makes the validation error no longer applicable, the error is resolved.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you enable the Create interest invoices option but don't define a rate for the day after the invoice is due, interest isn't calculated and an interest invoice isn't created.", + "qas": [ + { + "id": "00344", + "is_impossible": false, + "question": "What happens if I don't define an interest rate for an overdue invoice?", + "answers": [ + { + "text": "Interest isn't calculated and an interest invoice isn't created.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "Oracle Payables is integrated to the document repository to process scanned invoices.", + "qas": [ + { + "id": "00556", + "is_impossible": false, + "question": "How is Oracle Payables used to process scanned invoices?", + "answers": [ + { + "text": "It is integrated to the document repository.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payment file validations are rules that check the validity of payment files. If a payment file fails validation, it is always stopped for review.", + "qas": [ + { + "id": "02045", + "is_impossible": false, + "question": "If another payments files fail validation, why happens?", + "answers": [ + { + "text": "If a payment file fails validation, it is always stopped for review.", + "answer_start": 12 + } + ] + } + ] + }, + { + "context": "A payment process request can have a status of Missing cross-currency rates for multiple reasons...", + "qas": [ + { + "id": "00352", + "is_impossible": false, + "question": "How can I fix a payment process request that's missing cross-currency rates?", + "answers": [ + { + "text": "Depending on the reason, selecting the action icon on the Manage Payment Process Requests page opens the page where you can resolve the issue.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Tax rate variance is calculated from the nonrecoverable portion of the tax in the following cases: \u00e2\u0080\u00a2 There\u00e2\u0080\u0099s a difference between the tax amounts of the PO and the invoice. \u00e2\u0080\u00a2 There\u00e2\u0080\u0099s a difference the computed taxes.", + "qas": [ + { + "id": "00091", + "is_impossible": false, + "question": "How does accrual method affect nonrecoverable tax?", + "answers": [ + { + "text": "Tax rate variance is calculated from the nonrecoverable portion of the tax in cases of a difference between the tax amounts of the PO and the invoice or a difference in the computed taxes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you do not use the option to maximize credits and credit exceeds invoices, no invoices are selected.", + "qas": [ + { + "id": "00838", + "is_impossible": false, + "question": "If credit exceeds invoice amount, what happens?", + "answers": [ + { + "text": "No invoices are selected; request terminates.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Imaging receives the images from the designated email at scheduled intervals and grouping all invoice images in an email into a batch.", + "qas": [ + { + "id": "01720", + "is_impossible": false, + "question": "What this which roles which Oracle from which process?", + "answers": [ + { + "text": "It retrieves the images from the designated email at scheduled intervals and groups all invoice images in an email into a batch.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Since you are creating an ISO payment process profile, you must select transaction grouping rules on the tab Grouping. Grouping is based on the ISO standardized method of grouping transactions in each transmission file.", + "qas": [ + { + "id": "00923", + "is_impossible": false, + "question": "When creating an ISO payment process profile, what is the importance of the \"grouping\" tab?", + "answers": [ + { + "text": "You must select transaction grouping rules as grouping is based on the ISO standardized method of grouping transactions in each transmission file.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "System Transactions \u0095 If the conversion rate isn't defined for a specific transaction date, the application searches going back, up to 1 year to find the closest conversion rate. \u0095 For converting the transaction amount to the bank account amount the applications uses the Bank Conversion Rate Type (BANK_EXCHANGE_RATE_TYPE) from the bank account that corresponds to the transaction used. \u0095 For converting the transaction amount to the ledger amount, the application uses the conversion rate defined for the transaction. \u0095 For converting the transaction amount to the reporting amount, the application uses the default conversion type defined in the Currency Rates Manager.", + "qas": [ + { + "id": "01640", + "is_impossible": false, + "question": "How other converting rate manage making System Transactions from Oracle Cash Management?", + "answers": [ + { + "text": "If the conversion rate isn't defined for a specific transaction date, the application searches going back up to 1 year to find the closest conversion rate. Various conversion rate types are used for different conversions like from transaction amount to bank account amount, ledger amount, or reporting amount.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"More payment files might be created than necessary.\"", + "qas": [ + { + "id": "00261", + "is_impossible": false, + "question": "Drawback of immediate creation?", + "answers": [ + { + "text": "More files might be created.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "under \"Conditions\" sub-section under \"Payables cash requirements report\".", + "qas": [ + { + "id": "02086", + "is_impossible": false, + "question": "What other which requirement making which Payables Cash Requirement Report?", + "answers": [ + { + "text": "Payment Business Unit, Template, Pay Through Date, Payment Date, Summary Option, and Include Unvalidated Invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To make electronic payments, you can create paper document numbers that can be sent to your payment system or bank, so they can be printed on your outsourced checks.", + "qas": [ + { + "id": "00952", + "is_impossible": false, + "question": "Paper document numbers can be used for electronic payments.", + "answers": [ + { + "text": "Yes, paper document numbers can be generated for electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments removes the payment process from the request and informs the source product.", + "qas": [ + { + "id": "01949", + "is_impossible": false, + "question": "When papers other removing why actions this taken?", + "answers": [ + { + "text": "They are removed from the request and their status is reset.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Oracle Fusion Payables improves security by restricting access to invoices and payments by business unit.", + "qas": [ + { + "id": "00567", + "is_impossible": false, + "question": "How does Oracle Fusion Payables improve invoice and payment security?", + "answers": [ + { + "text": "By limiting access to invoices and payments by business unit and allowing access only to those business units for which a user has permission.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The invoice validation is also initiated only if the invoice has a distribution variance hold and does not have the following demands: Line variance Duplicate invoice matching required Invoice cancellation Inactive distribution set Cannot generate distributions Invalid default distribution combination Invalid PO PO not approved Final matching Incomplete invoice", + "qas": [ + { + "id": "00679", + "is_impossible": false, + "question": "When do invoices get started?", + "answers": [ + { + "text": "Only invoices that have gone through the Invoice Validation process are initiated automatically for the invoice account coding workflow.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\u00e2\u0080\u00a2 Collect invoices for training. Tip: Ensure that these invoices represent a sample of regularly processed invoices, and cover at least 5\ninvoices from your top 25 suppliers. How to Test\nTo test your existing IDR implementation:\n\u00e2\u0080\u00a2 Enable IDR 24 hours before testing begins.", + "qas": [ + { + "id": "01259", + "is_impossible": false, + "question": "When must 'll enabling IDR after testing?", + "answers": [ + { + "text": "Enable IDR 24 hours before testing begins.", + "answer_start": 38 + } + ] + } + ] + }, + { + "context": "To cancel such a invoice you will need to: Import daily exchange rates, run the Apply missing conversion rates process, confirm the exchange rate, cancel the invoice again.", + "qas": [ + { + "id": "00695", + "is_impossible": false, + "question": "Is it possible to cancel an invoice with a no rate hold?", + "answers": [ + { + "text": "You can\u0092t cancel this invoice because it's missing conversion rates.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": " Consider enabling this option for the spontaneous payment runs...\"", + "qas": [ + { + "id": "00810", + "is_impossible": false, + "question": "Immediate creation can be useful.", + "answers": [ + { + "text": "For spontaneous payment runs.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Like the cash budgeting, the cash account ensures that it has sufficient funds before clearing the supplier payment.\"", + "qas": [ + { + "id": "01918", + "is_impossible": false, + "question": "Cash rationalization ensuring what?", + "answers": [ + { + "text": "Sufficient funds before payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To terminate a payment process request, click the Terminate Payment Process button.", + "qas": [ + { + "id": "00300", + "is_impossible": false, + "question": "How can you terminate a payment process request?", + "answers": [ + { + "text": "Use the Terminate Payment Process button.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The Holds infotile indicates the types of holds placed on the invoice.", + "qas": [ + { + "id": "01146", + "is_impossible": false, + "question": "same What source if which \"Holds\" infotile providing than which invoices?", + "answers": [ + { + "text": "It indicates the types of holds placed on the invoice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments then informs the source product that none of the documents payable in the payment process request are being paid.", + "qas": [ + { + "id": "01419", + "is_impossible": false, + "question": "After termination, why recognized other which papers deferred sets to?", + "answers": [ + { + "text": "\"The source product then unlocks the documents payable and resets their status.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "When this action is taken, Payments removes the payment and associated documents payable from the payment process request.", + "qas": [ + { + "id": "00315", + "is_impossible": false, + "question": "What happens to the documents payable when payments are removed?", + "answers": [ + { + "text": "\"Payments removes the payment and associated documents payable from the payment process request.\"", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "The HTTPS_GET protocol supports https connection but doesn't support the exchange of any dynamic tokens.", + "qas": [ + { + "id": "01614", + "is_impossible": false, + "question": "What protocols this using making HTTPS GET Request?", + "answers": [ + { + "text": "HTTPS_GET protocol.", + "answer_start": 1 + } + ] + } + ] + }, + { + "context": "\"If business units and balancing segment values aren't intentionally or implicitly mapped, the Payables to Ledger Reconciliation report could display the following unintended results...\"", + "qas": [ + { + "id": "00453", + "is_impossible": false, + "question": "What happens if business units and balancing segment values are not properly mapped?", + "answers": [ + { + "text": "The Payables to Ledger Reconciliation report could display unintended results.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Submit invoice approval\nInitiate the approval invoice action or schedule the Initiate Invoice Approval Workflow process to run\non a regular basis. Approve invoice document\nRespond to the approval notification for the invoice. Predefined Rules\nThe invoice approval workflow includes the following predefined rules:\n\u00e2\u0080\u00a2 Invoices having amounts greater than or equal to 1000 require approval by the immediate supervisor of the\nrequester on the invoice.", + "qas": [ + { + "id": "00175", + "is_impossible": false, + "question": "What are some predefined rules in the invoice approval workflow?", + "answers": [ + { + "text": "The invoice approval workflow includes predefined rules such as invoices having amounts greater than or equal to 1000 requiring approval by the immediate supervisor of the requester on the invoice, and invoices having amounts less than 1000 being automatically approved.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text provides a table describing what is stamped on electronic payment when paper document numbering is disabled.", + "qas": [ + { + "id": "02064", + "is_impossible": false, + "question": "When printed documents numbered this disabled, why this affixed before digital payments?", + "answers": [ + { + "text": "Only payment reference numbers are stamped on electronic payments.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "From the page Manage External Transactions search for the transaction that you want to discuss, click on the transaction number from the search results to review in the conversation : 1. Click Social to open the Oracle Social Network. 2. Click the Share button...", + "qas": [ + { + "id": "02177", + "is_impossible": false, + "question": "The chief audit owner using education messaging take discussed internal trades and another money manager.", + "answers": [ + { + "text": "They can use the Social link on the View External Transaction page to invite the general accounting manager to a conversation to discuss external transactions.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The balance used for reserving the budget amount is the distribution of the invoice which is paid determines the account combination for reserving funds.\"", + "qas": [ + { + "id": "01903", + "is_impossible": false, + "question": "What accounts this using take sets which spending amount?", + "answers": [ + { + "text": "The account determined by the distributions of the invoice being paid.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Freight and miscellaneous lines aren't supported during the tolerance setup for invoice matching.", + "qas": [ + { + "id": "00123", + "is_impossible": false, + "question": "When does invoice matching include freight and miscellaneous lines as part of the tolerance?", + "answers": [ + { + "text": "Freight and miscellaneous lines aren't supported during the tolerance setup for invoice matching.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If you don't use the option and the total credit amount is greater than the total standard invoice amount, no invoices are selected for payment.", + "qas": [ + { + "id": "00888", + "is_impossible": false, + "question": "If you don't use the centralized model, what happens?", + "answers": [ + { + "text": "No invoices are selected for payment.", + "answer_start": 19 + } + ] + } + ] + }, + { + "context": "If you choose not to reprint, mark the numbered payment document as spoiled on the Record Print Status page and then destroy the paper document.", + "qas": [ + { + "id": "00394", + "is_impossible": false, + "question": "What should I do with the paper document of a spoiled payment?", + "answers": [ + { + "text": "Destroy the paper document.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "Use the social link on the Check Installments page to invite your manager to a discussion about adding installments to a payment process request. ", + "qas": [ + { + "id": "00903", + "is_impossible": false, + "question": "Is it possible to use social networking to get approval for adding installments to a payment process request?", + "answers": [ + { + "text": "Use the Social link on the Review Installments page to invite your manager to a conversation.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is an invoice that has invalid or missing data created from an invoice image.", + "qas": [ + { + "id": "01750", + "is_impossible": false, + "question": "What this a incorrect invoice?", + "answers": [ + { + "text": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Invoice Types: The application provides several types of invoices.", + "qas": [ + { + "id": "00039", + "is_impossible": false, + "question": "What does the application offer in relation to invoice categorization?", + "answers": [ + { + "text": "It provides several types of invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Include Bills Payable: If you select Yes, include the bills payable accounts in the Account parameter if they differ from the accounts payable accounts.\"", + "qas": [ + { + "id": "00462", + "is_impossible": false, + "question": "What should be considered when including bills payable in the reconciliation?", + "answers": [ + { + "text": "Include bills payable accounts in the Account parameter if they differ from accounts payable accounts. Select Yes if the bills payable liability account is the same as the regular liability account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To change details on the documents payable, you must remove the payment or document payable from the payment process request.", + "qas": [ + { + "id": "01423", + "is_impossible": false, + "question": "How able 'll download detail before papers payable?", + "answers": [ + { + "text": "\"Remove the payment or document payable from the payment process request and then make changes in the Edit Invoice page.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "qas": [ + { + "id": "00686", + "is_impossible": false, + "question": "What is an incomplete invoice?", + "answers": [ + { + "text": "An incomplete invoice is an invoice created from an invoice image that has invalid or missing data.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payment approval is automatically triggered after it reaches the Review Proposed Payments stage. The status", + "qas": [ + { + "id": "00331", + "is_impossible": false, + "question": "What is the status after payment reaches the Review Proposed Payments stage?", + "answers": [ + { + "text": "Payments Approval Initiated.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Review proposed payments: Stops the payment process request after grouping installments into payments and before building the payments.", + "qas": [ + { + "id": "00194", + "is_impossible": false, + "question": "When does the payment process request stop if you choose the 'Review proposed payments' option?", + "answers": [ + { + "text": "After grouping installments into payments and before building the payments.", + "answer_start": 8 + } + ] + } + ] + }, + { + "context": "In the section \"Transfer All Approved Invoices and Payments to the General Ledger\".", + "qas": [ + { + "id": "02092", + "is_impossible": false, + "question": "Invoices well payment other subsequently take which chief ledger.", + "answers": [ + { + "text": "By running create accounting with the Transfer to General Ledger option set to Yes, and running the Post Journal Entries to General Ledger process.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: You may choose to change setups to resolve payment validation errors; however, you can't change details of the documents payable.", + "qas": [ + { + "id": "00322", + "is_impossible": false, + "question": "Can details of documents payable be changed during the payment process?", + "answers": [ + { + "text": "\"No, they are locked during the payment process.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Prorating the amount paid for the invoice in the ratio of distribution amount...\"", + "qas": [ + { + "id": "00266", + "is_impossible": false, + "question": "How's the budget amount determined?", + "answers": [ + { + "text": "Prorated based on distribution.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Change the setup of remittance account, third party payees, payment methods or payment formats.", + "qas": [ + { + "id": "01952", + "is_impossible": false, + "question": "How able methodology error not fixed?", + "answers": [ + { + "text": "By changing the setup of various accounts and methods.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "From the Invoices landing page, click Create Recurring Invoices task to open the Create Recurring Invoices spreadsheet", + "qas": [ + { + "id": "00579", + "is_impossible": false, + "question": "How can you use the create recurring invoices feature?", + "answers": [ + { + "text": "From the Invoices landing page, click the Create Recurring Invoices task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"On the report summary, the Payables Begin Balance and Payables End Balance amounts include validated transactions only. Unvalidated transactions are included in the Payables Variance amount.\"", + "qas": [ + { + "id": "01574", + "is_impossible": false, + "question": "What if which Payables Variance amounts addition before which reports summary?", + "answers": [ + { + "text": "Unvalidated transactions.", + "answer_start": 17 + } + ] + } + ] + }, + { + "context": "The option to allow prepayment application indicates that the prepayment for application is available and classifies the prepayment as temporary.", + "qas": [ + { + "id": "01725", + "is_impossible": false, + "question": "How ca 'll making another drop-out available?", + "answers": [ + { + "text": "By selecting the Allow prepayment application option.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "#NAME?", + "qas": [ + { + "id": "00941", + "is_impossible": false, + "question": "I don't know what to do if I don't reprint the payment document.", + "answers": [ + { + "text": "Mark the document as spoiled on the Record Print Status page and destroy the paper document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payment validation errors can be solved by terminating the entire payment process.", + "qas": [ + { + "id": "01968", + "is_impossible": false, + "question": "How able 'll stopping which payments process?", + "answers": [ + { + "text": "\"Click the Terminate Payment Process button in the Resolve Payment Validation Errors page.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Scanned invoices are arranged in aging buckets, when you click any of the numbers those invoices are displayed in a table.", + "qas": [ + { + "id": "01134", + "is_impossible": false, + "question": "How other digitized phony separately making viewing?", + "answers": [ + { + "text": "They are arranged in aging buckets.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "It doesn't adjust the billed quantity on a purchase order or consumption advice.", + "qas": [ + { + "id": "01255", + "is_impossible": false, + "question": "What's another prices correction?", + "answers": [ + { + "text": "A price correction is a supplier invoice that adjusts the unit price of an invoice that's matched to a purchase order, receipt, or consumption advice.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Invoices landing page to perform various tasks when processing invoices. You can focus on invoices that require your attention through one of the 6 info tiles displayed on the Invoices landing page.", + "qas": [ + { + "id": "01133", + "is_impossible": false, + "question": "How able user focusing before certain phony before which Invoices landed page?", + "answers": [ + { + "text": "Through one of the 6 info tiles displayed.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "Use the Oracle Web Center Content Management document repository to manually load and import bank statements.", + "qas": [ + { + "id": "02166", + "is_impossible": false, + "question": "How this 6-speed banks saying files export done?", + "answers": [ + { + "text": "By using the document repository of Oracle Web Center Content Management to manually load and import bank statement files.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Explained under the section \"Differences Between the Reconciliation Report and Other Payables Reports\"", + "qas": [ + { + "id": "02122", + "is_impossible": false, + "question": "Data before which Payables take Ledger Reconciliation reports could not these in are Payables reports.", + "answers": [ + { + "text": "Differences in the inclusion of intercompany transactions and the date ranges used for the reports.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "To enable the option of maximum credits, select the Apply credits up to zero amount payment box on the Payment and Processing Options tab of the Submit Payment Process Request page.", + "qas": [ + { + "id": "01935", + "is_impossible": false, + "question": "The maximizing outstanding options able not enabled.", + "answers": [ + { + "text": "Select the \"Apply credits up to zero amount payment\" check box on the Payment and Processing Options tab.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Document sequences are unique numbers that are automatically or manually assigned to a created and saved document.", + "qas": [ + { + "id": "00572", + "is_impossible": false, + "question": "What are the document sequence in relation to invoices and payments?", + "answers": [ + { + "text": "Document sequences are unique numbers that are automatically or manually assigned to a created and saved document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: Oracle recommends that you do not repeat an invoice during testing. You should only test with as many unique invoices as possible. \u00e2 Select at least 25 suppliers and process 2-3 invoices for each of these suppliers.", + "qas": [ + { + "id": "01813", + "is_impossible": false, + "question": "How some manufacturers must 'll using making testing?", + "answers": [ + { + "text": "Choose at least 25 suppliers and process 2-3 invoices for each of these suppliers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Mass onboarding of suppliers... access to additional short-term working capital for suppliers.\"", + "qas": [ + { + "id": "01869", + "is_impossible": false, + "question": "What other which benefit which which Payables Early Payment offers?", + "answers": [ + { + "text": "Benefits include mass onboarding of suppliers, a one-click process to extend offers, automated processing of accepted offers, higher return for buyers, and access to short-term working capital for suppliers.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"This is different from the expense budgeting in which the cash account has sufficient funds to clear the supplier payment.\"", + "qas": [ + { + "id": "01890", + "is_impossible": false, + "question": "What this which mean in money well expenses budgeting?", + "answers": [ + { + "text": "Expense budgeting enforces approved limits, while cash budgeting ensures sufficient funds before supplier payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Include Intercompany Transactions: You can include or exclude intercompany transactions.\"", + "qas": [ + { + "id": "01561", + "is_impossible": false, + "question": "How able 'll addition instead excluded company-wide trades from which reconciliation?", + "answers": [ + { + "text": "By selecting the appropriate option for Include Intercompany Transactions and possibly restricting the account range.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "From the Invoices landing page, click Create Repeating Invoices to open the Recurring Invoices spreadsheet.", + "qas": [ + { + "id": "01669", + "is_impossible": false, + "question": "How able 'll using which creating recurrent phony feature?", + "answers": [ + { + "text": "From the Invoices landing page, click the Create Recurring Invoices task.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Invoices landing page to perform various tasks when processing invoices. You can focus on invoices that require your attention through one of the 6 info tiles displayed on the Invoices landing page.", + "qas": [ + { + "id": "01111", + "is_impossible": false, + "question": "How able user focusing before certain phony before which Invoices landed page?", + "answers": [ + { + "text": "Through one of the 6 info tiles displayed.", + "answer_start": 21 + } + ] + } + ] + }, + { + "context": "An example of a temporary prepayment is a catering deposit to a hotel.", + "qas": [ + { + "id": "01176", + "is_impossible": false, + "question": "What this a instance which another permanent prepayment?", + "answers": [ + { + "text": "A catering deposit to a hotel.", + "answer_start": 7 + } + ] + } + ] + }, + { + "context": "With the document sequences document editing task Manage Payables, you can: Create a document sequence for the applicable determinant type : ledger or legal entity. Assign the sequence to one or more document sequence categories.", + "qas": [ + { + "id": "01676", + "is_impossible": false, + "question": "What function other provide also which Manage Payables Document Sequences task?", + "answers": [ + { + "text": "Create a document sequence for ledger or legal entity, assign the sequence to document sequence categories, and specify the ledgers or legal entities for the assignment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "How mass reconcilion of bank statement lines and system transactions is handled You can perform mass reconciliation by selecting a large volume of system transactions... Import the reconciliation data into Oracle Cash Management Once you have reconciliation details added to the statement lines, you can upload it using the load interface file for import utility...", + "qas": [ + { + "id": "01084", + "is_impossible": false, + "question": "Mass reconciliation of bank statement lines and system transactions can be done.", + "answers": [ + { + "text": "Mass reconciliation is performed by selecting a large volume of system transactions and bank statement lines, grouping and reconciling them using a spreadsheet. The unreconciled transactions are exported into a spreadsheet. The reconciliation data is prepared in the spreadsheet and imported into Oracle Cash Management using the FBDI template for Bank Statement Reconciliation Data Import. The Load Interface File for Import utility is used to upload the reconciliation details.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text describes the process of assigning paper document numbering values to electronic formats to generate paper document numbers.", + "qas": [ + { + "id": "01510", + "is_impossible": false, + "question": "How able 'll generated printed documents number making digital payments?", + "answers": [ + { + "text": "You can generate paper document numbers by assigning paper document numbering values, which are check numbers, to electronic formats.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "By using a template, you can minimize date entry for frequently used payment processing settings, identify cash requirements by running the Payables Cash Requirement report against the template before submitting the template for processing, and schedule payment process requests to run on a regular basis.", + "qas": [ + { + "id": "01281", + "is_impossible": false, + "question": "What other which benefit which used another templates making payments processing?", + "answers": [ + { + "text": "Minimize date entry for frequently used payment processing settings, identify cash requirements by running the Payables Cash Requirement report, and schedule payment process requests to run regularly.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Refine your selection process by adding business units and currencies to the internal bank account as a selection criteria\"", + "qas": [ + { + "id": "00755", + "is_impossible": false, + "question": "How can you make the selection process better?", + "answers": [ + { + "text": "By configuring your payment process file and your internal bank account to filter installments based on business unit, currency, payment method, and ensuring their values match the usage rules defined in the payment process profile.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Subledger Accounting uses a set of predefined account rules to create accounting, but you can define your own detailed accounting rules.", + "qas": [ + { + "id": "00365", + "is_impossible": false, + "question": "Can I define my own accounting rules in Oracle Fusion?", + "answers": [ + { + "text": "Yes, you can define your own detailed accounting rules.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Note: \u0095 A quantity correction doesn't adjust the unit price on a purchase order or consumption advice. \u0095 You can allocate purchase order distributions for quantity corrections.", + "qas": [ + { + "id": "01225", + "is_impossible": false, + "question": "What's another quantities correction?", + "answers": [ + { + "text": "A quantity correction is a supplier invoice that adjusts the quantity of an invoice that's matched to a purchase order, receipt, or consumption advice. Create a credit or debit memo for a quantity correction.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"You can use the Apply credits up to zero amount payment option... to offset credit amounts against standard invoices of your supplier \"", + "qas": [ + { + "id": "01931", + "is_impossible": false, + "question": "What if which \"Apply outstanding down take mean amounts payment\" options do?", + "answers": [ + { + "text": "It offsets credit amounts against standard supplier invoices.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Those are locked during the payment process.", + "qas": [ + { + "id": "00861", + "is_impossible": false, + "question": "Is it possible to change the amount of documents payable during validation?", + "answers": [ + { + "text": "No.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following example describes how to load and import an electronic bank statement manually. 1. Obtain a bank statement file: bai2.txt, from the bank... 5. Check for any processing errors from the bank statements and reconciliation overview page.", + "qas": [ + { + "id": "01068", + "is_impossible": false, + "question": "How can a person manually load and import a bank statement?", + "answers": [ + { + "text": "Obtain the bank statement file, compress it into a .zip file, transfer the .zip file to the Web Center document repository, run the Load and Import Bank Statement process, and check for any processing errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Use the Invoices landing page to perform various tasks during the processing of invoices. You can focus on invoices which require your attention through one of the 6 Info tiles displayed on the Invoices landing page.", + "qas": [ + { + "id": "00583", + "is_impossible": false, + "question": "Users can focus on specific invoices on the Invoices landing page.", + "answers": [ + { + "text": "Through one of the 6 info tiles displayed.", + "answer_start": 23 + } + ] + } + ] + }, + { + "context": "Credit liability amounts are reported as positive amounts because they represent outstanding balances. Debit liability amounts decrease the outstanding balance.", + "qas": [ + { + "id": "01584", + "is_impossible": false, + "question": "How other loans well atm malpractice amount treated?", + "answers": [ + { + "text": "Credit liability amounts are reported as positive amounts because they represent outstanding balances. Debit liability amounts decrease the outstanding balance.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments also generates a unique reference number for each payment.", + "qas": [ + { + "id": "02056", + "is_impossible": false, + "question": "Paper documents number other generate making digital payments.", + "answers": [ + { + "text": "A unique payment reference number is generated for each payment.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Payments removes the payment process from the request and informs the source product.", + "qas": [ + { + "id": "00849", + "is_impossible": false, + "question": "When documents are removed what action is taken?", + "answers": [ + { + "text": "They are removed from the request and their status is reset.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Rounding differences between the original invoice liability and the total of the payments liability are automatically written off.\"", + "qas": [ + { + "id": "02123", + "is_impossible": false, + "question": "How other which differing handling from invoices?", + "answers": [ + { + "text": "Rounding differences are automatically written off when the final payment or prepayment application is accounted.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "If banks and/or branches are present in both the Zengin file and Oracle ERP Cloud, then they will be ignored.", + "qas": [ + { + "id": "01606", + "is_impossible": false, + "question": "What action other they not bank e.g. smaller other same from well which Zengin files well Oracle ERP Cloud?", + "answers": [ + { + "text": "They will be ignored.", + "answer_start": 16 + } + ] + } + ] + }, + { + "context": "To create payment files through a scheduled process, accept the default setting...\"", + "qas": [ + { + "id": "00812", + "is_impossible": false, + "question": "How to schedule the creation of a payment file?", + "answers": [ + { + "text": "Accept the default setting, then schedule processes.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The default setting includes all pay groups, but you can specify one or more pay groups.", + "qas": [ + { + "id": "00736", + "is_impossible": false, + "question": "What is the default setting for pay groups?", + "answers": [ + { + "text": "The default setting includes all pay groups.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The following ESS programs are used to create your cash position: Cash Position Data Extraction: This program simplifies the extraction of data from all relevant sources... Cash Position Data Transfer: This program automatically runs after a successful extraction... Cash Position Data Deletion: Use this program to delete the cube before making changes to the dimensions or reporting options...", + "qas": [ + { + "id": "01087", + "is_impossible": false, + "question": "What programs are used to create cash positions?", + "answers": [ + { + "text": "ESS programs: Cash Position Data Extraction, Cash Position Data Transfer, and Cash Position Data Deletion.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors by terminating the entire payment process request.", + "qas": [ + { + "id": "00318", + "is_impossible": false, + "question": "How can you terminate a payment process request?", + "answers": [ + { + "text": "\"Click the Terminate Payment Process button in the Resolve Payment Validation Errors page.\"", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "Submitting a payment process request... 1. Sign in as a transaction user. 2. On the home page, click Payables > Payments... 14.", + "qas": [ + { + "id": "00926", + "is_impossible": false, + "question": "How do I submit a payment request?", + "answers": [ + { + "text": "Sign in as a transaction user, navigate to Payables > Payments, and follow the steps to specify the selection criteria, payment attributes, processing options, and then submit the request.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "The text describes CGI and its role in promoting ISO 20022", + "qas": [ + { + "id": "02073", + "is_impossible": false, + "question": "What this this called?", + "answers": [ + { + "text": "CGI is an organization that provides a forum to promote wider acceptance of ISO 20022 as the common XML standard used between corporate enterprises and banks.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "So you cant turn a Prepayment invoice to temporary after it is permanent, but you can cancel the Prepayment invoice and create a new one for the same purpose.", + "qas": [ + { + "id": "01772", + "is_impossible": false, + "question": "Is this possibility take changes another temporary drop-out 25-cent take another permanent one?", + "answers": [ + { + "text": "The classification of a prepayment invoice as permanent isn\u0092t reversible.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"When you enable cash budgeting, the payment process happens only when there is sufficient balance in the account.", + "qas": [ + { + "id": "00808", + "is_impossible": false, + "question": "The cash budgeting system handles payments.", + "answers": [ + { + "text": "Only when there is a sufficient balance in the funds account.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"To create payment files immediately, select the option -- to create payment files immediately...\"", + "qas": [ + { + "id": "01885", + "is_impossible": false, + "question": "How able 'll sets down another requested making payment?", + "answers": [ + { + "text": "Select the \"Create payment files immediately\" option on the template or submission pages.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can resolve payment validation errors on the Resolve Payment Validation Errors page by removing one or more payments with validation errors from the payment process request.", + "qas": [ + { + "id": "00343", + "is_impossible": false, + "question": "Why would one remove payments from the payment process request?", + "answers": [ + { + "text": "To resolve payment validation errors.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "After you override the error, the payment process formats and then prints or transmits the payment file.", + "qas": [ + { + "id": "00398", + "is_impossible": false, + "question": "What happens after overriding a payment file validation error?", + "answers": [ + { + "text": "The payment process formats and then prints or transmits the payment file.", + "answer_start": 5 + } + ] + } + ] + }, + { + "context": "Scanned invoices are placed in aging buckets - when you click on any number the invoices are displayed in a table.", + "qas": [ + { + "id": "00584", + "is_impossible": false, + "question": "How are scanned invoices arranged?", + "answers": [ + { + "text": "They are arranged in aging buckets.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "You can import, update, approve and pay transactions and get the status update for payments.", + "qas": [ + { + "id": "01702", + "is_impossible": false, + "question": "What other which action 'll able come before exported transactions?", + "answers": [ + { + "text": "Import, update, approve, and pay transactions and get the status update for payments.", + "answer_start": 2 + } + ] + } + ] + }, + { + "context": "For each document payable, Payments attempts to match the Payment Method, Business Unit, etc.", + "qas": [ + { + "id": "00292", + "is_impossible": false, + "question": "How is a missing payment profile derived?", + "answers": [ + { + "text": "By matching several parameters from the document.", + "answer_start": 0 + } + ] + } + ] + }, + { + "context": "\"Consider enabling this option for spontaneous payment runs...\"", + "qas": [ + { + "id": "01344", + "is_impossible": false, + "question": "How able possible payments files created benefits cathartic payments runs?", + "answers": [ + { + "text": "It completes the process without waiting for a scheduled process.", + "answer_start": 0 + } + ] + } + ] + } +] \ No newline at end of file