| 产品类型 | 业务流程 | 中文翻译 | 英文原文 |
| 固定资产 | 固定资产 | Document 1536287.1 应用补丁程序9069419后FA_CIP_PVT无效 | Document 1287739.1 FA_CIP_PVT Is Invalid After Patch 9069419 |
| Document 1536285.1 固定资产常见问题:R12中创建会计分录 | Document 870950.1 Assets FAQ: Create Accounting R12 |
| Document 1526576.1 付款错误,错误代码为AP_MATURITY_DATE_UNDEF_PERIOD | Document 1208537.1 Error In Payments Error Code Is AP_MATURITY_DATE_UNDEF_PERIOD |
| Document 1552696.1 EBS: R12固定资产重要补丁包2008年9月 | Document 742558.1 EBS: R12 Assets Critical Patches September 2008 |
| 总账 | 总账 | Document 1537153.1 R12:在尝试完成账簿会计设置时报错: ORA-20001: HR_7220_INVALID_PRIMARY_KEY | Document 560692.1 R12:when try to coplete accounting setup manager by pressing complete button, show error : ORA-20001: HR_7220_INVALID_PRIMARY_KEY |
| Document 1537211.1 关于总账会计科目设置管理器的答疑 | Document 778826.1 General Ledger FAQ for Accounting Setup Manager (ASM) |
| Document 1541185.1 R12: 怎样提高总账和日记账导入的性能 | Document 858725.1 R12: How To Improve Performance of General Ledger and Journal Import |
| Document 1541220.1 在报告管理中怎样启用FSG 追溯的功能? | Document 444308.1 How To Enable FSG Drilldown Functionality in Report Manager? |
| Document 1536789.1 总账币种转换常见问题 | Document 120019.1 General Ledger FAQ for Currency Conversion |
| Document 1538696.1 总账开启/关闭期间常见问题 | Document 135433.1 General Ledger FAQ for Open/Close Period |
| Document 1539876.1 Oracle 总账年终结算流程 | Document 66532.1 Oracle General Ledger Year End Closing Process |
| Document 1537628.1 R12:如何设置访问科目表不同的主要和辅助的分类帐 | Document 460654.1 R12:How To Set Up Access for Primary and Secondary Ledgers With Different Charts of Accounts |
| Document 1553490.1 如何使用日记账导入更正界面 | Document 1056801.6 How To Use the Journal Import Correction Screen |
| Document 1553491.1 FSG 功能问题解决指导 | Document 136328.1 FSG Functional Troubleshooting Guide |
| Document 1554642.1 总账财务报表生成器常见问题 | Document 108236.1 General Ledger FAQ for FSG Functional |
| Document 1555001.1 总帐管理系统过帐常见问题解答 | Document 107066.1 General Ledger FAQ for Journal Posting |
| Document 1553421.1 在R12中高级全球公司间(AGIS)-设置,事务处理流程和报表 | Document 418649.1 Advanced Global Intercompany (AGIS) in Release 12 (R12) - Setup, Transaction Processing and Reports |
| 应付账款 | 现金管理 | Document 1536730.1 11i 付款文件在R12中不存在——怎样从11i数据中创建付款文件 | Document 790704.1 11i Payment Documents Do not Exist in R12--How to create the payment documents from 11i data |
| Document 1536713.1 R12导入内部和外部银行账户的文档:银行API與Q/A | Document 948993.1 Documentation on Importing Internal and External Bank Account In R12: Bank API's And Q/A |
| AP Technical | Document 1536776.1 R12.1.1 APILNUPG.SQL运行时间过长 | Document 863825.1 R12.1.1 APILNUPG.SQL Is Taking Long Time To Run |
| Document 1534715.1 关于电子商务套件R12.1常问的问题? | Document 824414.1 Frequently Asked Questions related to E-Business Suite Release 12.1 |
| Document 1552793.1 如何得到应付流程的R12 TRACE 和 FND Debug 文件 / FND 日志 | Document 458371.1 R12: How to Get the R12 Trace and FND Debug File / FND Log for Payables Processes |
| 创建会计分录 | Document 1534717.1 如何解决 R12 创建会计分录过程中的问题 | Document 551504.1 How to troubleshoot the R12 Create Accounting process |
| Document 1536342.1 R12:无法创建会计科目发票错误:"Encumbrance Acctg Fail" | Document 1169024.1 R12: Unable Create Accounting Invoice Error: Encumbrance Acctg Fail |
| Document 1535532.1 R12:RCA创建会计分录报错"该子分类帐日记帐分录未按输入币种进行平衡" | Document 1165264.1 R12: RCA: Create Accounting Error "The accounted amount and entered amount for the subledger jounral entry line have different sign" |
| Document 1536340.1 R12: 对付款创建会计科目失败"This line cannot be accounted until the accounting event for the application Payables that it references has been fully accounted" | Document 1165276.1 R12: Create Accounting for Payment Fail with "This line cannot be accounted until the accounting event for the application Payables that it references has been fully accounted" |
| Document 1536726.1 R12会计问题的解决 | Document 732928.1 R12 Troubleshooting Accounting Issues |
| Document 1536725.1 如何在子分类账日记账分录行网页页面的视图上增加一个栏位 | Document 987419.1 How to Add a Column in View Subledger Journal Entry Line Window |
| Document 1536702.1 带有已核销/撤销核销预付款的已取消的发票不能完成会计创建 | Document 816453.1 Cannot Complete Accounting for Cancelled Invoices with Applied and Unapplied Prepayments |
| Document 1536753.1 参考Doc ID 553484.1 关于应付账款试算平衡或者未结帐户 AP余额列表的信息 | Document 604739.1 Refer to Doc ID 553484.1 for Information re: AP Trial Balance or Open Account AP Balances Listing |
| Document 1536774.1 R12 关闭期间常见问题 | Document 735522.1 R12 Period Close FAQs |
| Document 1536806.1 R12关于会计分录,总帐传送,期间关闭与试算表’如何做的文档 | Document 579373.1 R12 Accounting, GL Transfer, Period Close and Trial Balance 'How To' documents |
| Document 1536312.1 R12对应付款系统内的XLA表删除孤立记录的一般数据修复(GDF)修补程序 | Document 788135.1 R12 Generic Data Fix (GDF) patch to Delete Orphan Records in XLA Tables for Payables |
| Document 1537570.1 R12创建会计分录常见问题及解决方法 | Document 601306.1 R12 Accounting Errors Encountered FAQs |
| Document 1552347.1 创建会计分录以警告结束但没有会计错误信息 | Document 1192300.1 Create Accounting Completes in Warning but There are No Accounting Errors |
| Document 1539980.1 R12 应付模块期间关闭流程故障解决 | Document 437422.1 R12 Troubleshooting Period Close in Payables |
| Document 1553079.1 R12 关于应付帐款试算平衡表/未结应付帐款余额列表中的故障处理 | Document 553484.1 Troubleshooting Accounts Payable Trial Balance (Open Account AP Balance Listing) issues in R12 |
| Document 1553127.1 如何在R12中运行应付帐款试算表报表? | Document 554785.1 How do you run the Accounts Payable Trial Balance report in R12? |
| Document 1554627.1 R12试算平衡表问题 | Document 579631.1 R12 Trial Balance FAQs |
| 发票 | Document 1537588.1 APXINWKB –更新或取消发票会报错 APP-SQLAP-10771 无法撤销记录 | Document 1200053.1 APXINWKB - Unable to Update or Cancel Invoice APP-SQLAP-10771 Could Not Reserve Record |
| Document 1537174.1 采购订单匹配问题诊断处理指南 | Document 214273.1 Purchase Order Matching Troubleshooting Guide |
| Document 1536293.1 R11i/R12无法更新供货商地点 – FRM-40654 已更新记录。重新查询块以查看更改 | Document 429469.1 R11i / R12: FRM-40654 Record Has Been Updated Error Message While Trying To Update A Supplier |
| Document 1537574.1 Oracle应付款管理系统版本12 的已知问题 | Document 405627.1 Oracle Payables Release 12 Known Issues |
| Document 1537880.1 发票匹配常见问题(FAQ’s) | Document 213480.1 Invoice Matching - Frequently Asked Questions (FAQ's) |
| Document 1541184.1 R12 供应商: 其它常见问题 | Document 601851.1 R12: Suppliers: Other FAQs |
| Document 1538645.1 R12 供应商的相关文档 | Document 579496.1 R12 Suppliers 'How To' documents |
| Document 1550322.1 R12:如何使用供应商开放接口导入供应商银行账户 | Document 466334.1 R12: How To Import Supplier Bank Accounts Using The Supplier Open Interface |
| Document 1550352.1 成批增加创建资产的常见问题 | Document 125614.1 Mass Additions Create FAQ's |
| Document 1555367.1 R12: 如何执行各种应付发票,税务,银行,匹配和成批增加动作 | Document 579378.1 R12: How To Perform Various Payables Invoice, Tax, Bank, Matching and Mass Additions Actions |
| Document 1549311.1 R12: 发票工作台: 验证发票时出现’无法执行资金检查’暂挂 | Document 803663.1 R12: APXINWKB: Validating an Invoice Gets 'Funds Checking Could Not Be Performed' Hold |
| 付款 | Document 1536732.1 R12 付款批常见问题解答 | Document 579383.1 R12 Payment Batch FAQs |
| Document 1537177.1 R12:怎样指定、修改XML 发布器付款模板 | Document 414336.1 R12: How To Assign/Modify XML Publisher Payment Templates |
| Document 1537521.1 R12 付款过程请求-功能和技术信息 | Document 821133.1 R12 Payment Process Request - Functional and Technical Information |
| Document 1537198.1 R12付款流程‘How To’文档 | Document 579132.1 R12 Oracle Payments Processing 'How To' documents |
| Document 1536327.1 R12: 如何控制分配给电子/电汇付款的单据编号 | Document 855097.1 R12: How to control Payment Numbers assigned to Electronic/Wire Payments
|
| Document 1537591.1 R12: 如何完成处于格式化状态的付款处理请求 | Document 553413.1 R12: How to complete a Payment Process Request that shows Status Formatting |
| Document 1539936.1 R12: XML 付款模版和格式的理解 | Document 562806.1 R12: Understanding XML Payment Templates and Formats |
| Document 1550327.1 R12:格式化具有文本输出的付款指示出错 | Document 847147.1 R12: 'Format Payment Instructions with Text Output' Ended with Error |
| Document 1552360.1 取消付款处理请求批报错: This Payment Process Request Includes Documents Or Payments That Belong To Operating Units | Document 1096349.1 Canceling PPR Batch Throws Error: This Payment Process Request Includes Documents Or Payments That Belong To Operating Units |
| Document 1553132.1 R12: 单一付款/付款工作台和其他综合付款的常见问题解答 | Document 579271.1 R12: Single Payments/Payments Workbench and Other General Payment FAQs |
| Document 1526576.1 付款错误,错误代码为AP_MATURITY_DATE_UNDEF_PERIOD | Document 1208537.1 Error In Payments Error Code Is AP_MATURITY_DATE_UNDEF_PERIOD |
| 应收账款 | 收款 | Document 1536711.1 如何诊断在应收账款自动加密箱中发生的问题 | Document 788619.1 How To Diagnose An Issue in Receivables AutoLockbox |
| Document 1537615.1 Oracle Receivables 10.7, 11.0.3 ,11.5 and 12 版本常见问题解答 | Document 219933.1 Oracle Receivables FAQ - Receipts For Release 10.7, 11.0.3 ,11.5 and 12 |
| Document 1541219.1 AP/AR 对冲 常见问题与答案 | Document 1067767.1 FAQ : AP/AR Netting Common Questions and Problems |
| Document 1549682.1 如何解决收款冲销错误APP-AR-96983 用户收款注销限额不存在 | Document 1068059.1 Receipt Write-Off Error: Creating a Receipt Write-Off raises Error: APP-AR-96983 User Write-off limit does not exist |
| 事务处理 | Document 1536798.1 如何在应收账款中设置和创建贷项通知单 [视频] | Document 215373.1 How to Setup and Create Credit Memos in Receivables [Video] |
| Document 1539934.1 Oracle 应收账款事务处理工作台设置以及使用指南 | Document 733298.1 Transactions Workbench Setup & Usage Guide for Release 12 |
| Document 1539933.1 自动开票 常见问题与答案 版本11.5 - 12 | Document 733835.1 AutoInvoice FAQ for Release 11.5 - 12 |
| Document 1539505.1 Oracle应收款管理系统单据序号及事务处理编号的常见问题(FAQ) | Document 735498.1 Oracle Receivables Document Sequencing & Transaction Numbering Frequently Asked Questions (FAQ) |
| 收账 | Document 1549314.1 高级收帐基本设置 | Document 282798.1 Advanced Collections Basic Collections Setup |
| 过账和调节 | Document 1539506.1 如何使用子分类账会计(SLA)改写自动会计所创建的会计科目 | Document 834475.1 How To Use SLA To Override Accounting created by AutoAccounting |
| 客户数据管理 | Document 1549309.1 FAQ: 为什么R12应付帐款的供应商显示在应收帐款客户的界面? | Document 733801.1 FAQ: Why Do Accounts Payable Suppliers Show In Release 12 Receivables Customer Form? |