Showing posts with label reporting. Show all posts
Showing posts with label reporting. Show all posts

Reporting in Financial Reporting Compliance

In Financial Reporting Compliance provides a set of predefined reports organized into five categories.

Assessment Reports
  • Assessment Details Reports - displays information about assessment conducted against selected objects.
  • Control Assessment Report - lists controls and their related assessment activities in PDF format
  • Control Assessment Extract - lists controls and their related assessment activities in Excel Format
Control Reports
  • Control Details Report
Issue Reports
  • Issue Details Report - provides information about selected issues, including the object against which each issue is raised, issue status and state, users who created or updated and when they did so, and other values.
  • Issue Details Extract - provides similar information for export to an application such as Excel.
Risk Report
  • Risk Control Matrix Report - lists risks, controls and related information: perspectives and other values
  • Risk Control Matrix Extract - lists risks, controls and related information for export to Excel Format
Administration Reports
  • Change history Report
  • Pending Worklist Items Report
  • Related Objects report
  • Worklist Item Requiring Reassignment
Activating Email Alerts

Setup e-mail messaging in Financial Reporting Compliance users when tasks require their attention.
  1. select the Enable check box in the E-Mail Alerts region
  2. Select the test connection button to view a message that connectivity with your email server is established.
  3. Create an email alert schedule

Overview of the Financial Reporting Center

The Financial Reporting Center basically offers the state-of-the-art reporting with analytical capabilities, helps you to generate reports from the Oracle Journal Ledger Balances Cube for consistent, timely, and accurate information, and also performs multi-dimensional analysis and enables you to drill down to journal details and to both Oracle and Oracle subledger transactions as well, so which means once the balances have been posted, you had the flexibility to access the balances by submitting various reports.



Then also helps you to retrieve results from the report objects and definitions that are stored in the Enterprise Performance Management System workspace. And you can access those reports under the BI catalog.

The Financial Reporting Center basically includes the access to different type of reports, including financial reports. These are those records that are designed by using a tool called Oracle Financial Reporting Studio. Oracle Financial Reporting Studio basically helps you to design fixed format financial reports that are fetching the data from the balances cube directly.

Account Group and Sunburst

Account Group and Sunburst are tools used to enter key accounts which should always be under watch. When a user creates an account group, it becomes visible in the Financial Reporting Center. And you can also use the Sunburst visualization tool to keep a track about the activities that are happening within an account. The Sunburst visualization tool enables you to interact with your account balances across various business dimensions in order to view balances from different perspectives.

Smart View

Smart View is a spreadsheet-based, multi-dimensional pivot analysis tool that is combined with the full Microsoft Office functionality. To access the balances from your cloud environment, you must ensure that you have installed the Smart View add-in on your local machine. Otherwise, you will not be able to establish a connection with the cloud environmental.

Smart View enables you to interactively analyze your balances and define reports by using the familiar spreadsheet environment. These queries are mainly for users who are operating within the GL application. And one user can upload a query by using workspace. And then from differential reporting center, another user can download the query to the local drive for utilization. So it's like kind of shared option is also available.

Overview of Oracle Transactional Business Intelligence in Oracle Fusion Applications.

Overview of Oracle Business Intelligence Publisher in Oracle Fusion Applications

Users with access to the Financial Reporting Center
  • General Accounting Manager
  • General Accountant
  • Budget Manager
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Reporting for Revenue Management Cloud

Oracle Fusion provides two predefined reporting tools for Revenue Management Cloud: Business Intelligence Publisher and Oracle Transactional Business Intelligence.

A Business Intelligence Publisher (BIP) is a reporting tool that you run by navigating to the Scheduled Processes page. These are usually business-specific reports are are either sent to external business contacts. 

Oracle Transactional Business Intelligence (OTBI) is a reporting and analysis tool used to create Analyses and Dashboards. These are usually used by internal teams rather than an actual report submitted externally such as auditors, governments etc. OTBI can also be used to create custom Infolets, which are miniature versions of dashboards. For more information on OTBI, check out a separate article: Overview of Oracle Transactional Business Intelligence in Oracle Fusion Applications.

Oracle Fusion provides two predefined reporting objects for Revenue Management Cloud:
  1. Revenue Contract Account Activities Report (BI Publisher)
  2. Standalone Selling Price Dashboard (OTBI Report)
Also, Oracle Fusion provides two predefined reporting Subject Areas than can be used by OTBI:
  1. Revenue Management - Customer Contracts Real Time
  2. Revenue Management - Standalone Selling Price Real Time

Below discusses the objects and subject areas in detail:

Revenue Contract Account Activities Report gives us account balances by performance obligation to support the audit process and perform detail analysis. This report shows information about revenue contract, performance obligation, customer name, source document references, period information, and most importantly account classes. 

Account classes are accounts that you're going to see in connection with activity for a customer contract. They correspond to contract liability, contract asset balances, contract revenue, etc. 

This is a BI Publisher report that is available to you out-of-the-box and you can run the report for a given ledger, and one or multiple periods, and you can also narrow down the results of the report by account class. It is defaulted to an Excel output. but it can also be data, or in CSV as well.

Standalone Selling Price Dashboard allows your organization to analyze standalone selling prices for a single period or a range of periods.

To Navigate to the Standalone Selling Price Dashboard, Click on the Navigator > More > under Tools, find Reports and Analytics. From Reports and Analytics > click on All Folders > Click on Shared Folders,> Financials > Revenue Management > Standalone Selling Price. Inside of this folder, find standalone selling price report.

Revenue Management - Customer Contracts Real Time. Provides real-time information on accounting contracts. Details for contracts, performance obligations, and promised details include related revenue prices for an effective period, satisfaction, billing, revenue distribution and accounting.

Revenue Management - Standalone Selling Price Real Time. Provides real-time information on Standalone Selling Prices and tolerance ranges for an item group, item or memo line by pricing dimension, item classification and effective period.

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Overview of Oracle Transactional Business Intelligence in Oracle Fusion Applications

This article discusses an Overview of Oracle Transactional Business Intelligence, or OTBI. OTBI can be used to create an Analysis, Dashboards, Infolets, Interactive Reports using a number of tools.

What is an Analysis?

Analyses are queries against an organization's transactional data that provides answers to Business Questions. Analyses can be enhanced through features such as graphs, charts, tables, calculated items and drilling down

Analyses Can be created using BI Composer and BI Answers and are saved in the Oracle BI Catalog.
  1. BI Composer is a tool that is recommended for end-users because it is a simple, easy-to-use, and has a drag and drop graphical interface. Users can just drag and drop columns you want to have in a particular analysis. What this does is pulling data from the transactional tables without having to use SQL.
  2. BI Answers is a more sophisticated tool to retrieve data from the transactional tables. It allows you to create an analyses as well. BI Answers has quite a few additional features. It also contains a graphical interface but is meant more for developers and business analysts. Using BI Answers, you can also create dashboards, a collection of reporting objects. 
The data these tools use comes from Subject Areas. Subject area is nothing more than a group of attributes (columns) from the underlying application transactional tables that are available to the report writer. For Financials, the transactional tables that we are referring to here have to do with GL, AR, AP, cash management, etc.

An Infolet is an interactive container that's displayed in those page dots that we find in the Welcome Springboard. For more information on infolets, check out a separate article Overview of Infolets and Infotiles in Oracle Fusion Applications

Business Intelligence Mobile App Designer enables users to create multi-touch information-driven applications with rich interaction, rich visualization, and rich media meant to be displayed on tablets and mobile devices.

These reports, analyses and dashboards are organized by Application in the Business Intelligence (BI) Catalog.

Enterprise Performance Management (EPM)

The EPM Workspace helps you to create reports, books, snapshot reports, and financial report matches. It also comes with a batch scheduler and helps you to schedule batches to automatically run and burst the outputs through the email accounts for different users.

It also allows you to get a snapshot of books. The Term "book" in OTBI is a grouping mechanism so that you can run related reports together. 


You will also be able to have access to the Allocation Manager, a Hyperion tool that allows you to do general ledger allocations (i.e. allocating expenses across multiple cost centers).

EPM Components

The Business Intelligence Catalog or BI Catalog is a repository of reporting objects that OTBI uses to generate reports and analyses, grouped by application. You cannot run BI Publisher reports from the BI Catalog but you can open and view how they have been designed.

The BI Catalog splits into two: My Folders and Shared Folders. 
  1. My Folders contain user-defined reports that are only visible to the user logged in
  2. Shared Folders is visible to all users that have access to the specific application and have the sufficient roles.
How do I navigate to the BI Catalog?

If I'm working with Studio and I want to use some Hyperion features (like scheduling a batch of Studio reports) I should navigate to the catalog from the Financial Reporting Center. If I want to use OTBI, I should use Reports and Analytics.

To get to the BI Catalog via the Workspace, go to the Financial Reporting Center and from there, there's a link that takes you to Workspace. And then, select Application > Catalog.

Reports and Analytics. If I want to use OTBI, Reports and Analytics is what you want to navigate to. Reports and Analytics allows you to create an analysis using the BI Composer, the more simple tool for end users. If you want to use BI answers, to create a dashboard, click on "Browse Catalog" from inside Reports and Analytics. There's a new menu here that allows me to create an analysis, dashboard, and other objects. 

To get to Reports and Analytics, Go to the Navigator > More > Reports and Analytics. 

OTBI Objects and Related Icons

When you navigate around in this catalog, you're going to see Icons and each correspond to a different reporting object:




  1. Folders. Folders as well as sub-folders simply organize the reporting objects.
  2. Analysis is also an OTBI object. A query against the database without the use of SQL using a graphical drag and drop interface from Subject Areas
  3. Report is the BI Publisher Report, t
  4. hat will be that tool
  5. Dashboard is also an OTBI object. A dashboard is a collection of reporting objects. They have one or multiple pages, can show a report, a link to an external page, images, etc. A dashboard can include one or multiple analyses, it can include another OTBI report, scorecards, Key performance indicators, links to financial reports, etc.
  6. Prompt is a component of a dashboard.
  7. Data model is a component of a BI publisher report.
Column Data Structure for Analytics




Now, there are two of them, so how do we build an analysis, an object, an OTBI object to retrieve data from the Revenue Management tables? That's the next topic here after this slide. So before we get there, one more word about these columns that we can use in an analysis.

Some of them are going to include numbers. That's what we call fact columns. They're going to store values that you can aggregate such as Billing amounts, transaction price, etc.

But sometimes, you get to see a column that is storing something other than an amount. That's what we call an attribute column. That's a contract number, a ledger name, etc.

Then you have other attributes, we call them hierarchical. These are information that's organized in a hierarchy, like year, quarters, and months. So those are the types of columns that you're going to find when you look at a subject area.

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Overview of Oracle Business Intelligence Publisher in Oracle Fusion Applications

What is Oracle Business Intelligence Publisher?

Oracle BI Publisher is a very powerful enterprise reporting solution that can be used to extract data from virtually any underlying technology such as relational databases, data warehouses, Essbase cubes, RSS feeds, Excel Spreadsheets, etc. BI Publisher essentially allows you to access data from multiple sources and send out that data in multiple formats to multiple recipients.

What functions can Oracle BI Publisher provide?

Besides generating business user reports such as Purchase Orders, Invoices, and Credit Memos, BI Publisher can carry out operational bank tasks such as send electronic funds transfer, bank statements and payments, or automatically fill in a government report such as tax forms.

Which applications offer Oracle BI Publisher?

BI Publisher is available both as a standalone application (BIP) and as a part of Oracle Business Intelligence Enterprise Edition (OBIEE).

The Standalone BIP doesn't need to be integrated into your Fusion environment. You can simply use it on its own. And inside of that, you can manage all the scheduling, all the security, all of the administrative details that you need to manage to deliver these reports.

As part of OBIEE, then all your BI Publisher reports are going to be in the same repository as all of the other BI objects. And the functionality is basically the same as the standalone application. But within Fusion and within OBIEE, you can navigate to the Enterprise Edition if you need to manage all your reports.

What types of Data can BI Publisher use?

BI Publisher supports a multitude of data formats (SQL, Spreadsheet, XML, etc.) from different data sources (Oracle Database, SQL Server, Spreadsheets, Essbase, Microsoft Analysis Services, web services).

How can BI Publisher generate reports? 

Firstly, a BI Publisher Report consists of a Data Model, a Data File and a Layout. The data model contains the “script” that will extract the actual data, contained in the Data File, and the Layout will then display the actual data before delivery.

The procedure for getting data from those data sources is to create a data model that will extract all your data into an XML file.  For example, we can write a SQL query in BI Publisher and that SQL query will extract data from our relational database or databases and that data will be written to an XML file. The layout template would then display that XML data in formats the business user would need such as PDF, text, HTML, Spreadsheets, CSVs, etc. The possibilities for your output formats are very wide and diverse.

Also, you can also deliver it in a number of ways: by email, straight to a printer, straight to a fax machine, right into a repository, right directly to a database, or you can send it through e-commerce.

How can you run BI Publisher reports?

Financial Reporting Center (FRC)
  • If you are going to be running BI Publisher reports from FRC, you would need to initially run the report from an area called Scheduled Processes.
Enterprise Scheduler System (ESS) or Scheduled Processes Area

  • Most seeded BI Publisher reports can be run from the Scheduled Processes area and would be available to Business Users depending on their Roles.
  • With the help of Scheduled Processes, BI Publisher reports can be executed immediately, or to run on a scheduled time, such as off business hours if you're running a massive report (such as all of the tax information for the whole company to the tax authorities)
  • You can keep a track about the log of those jobs from the ESS and access the output of the jobs that have been submitted.
  • Users access this interface from Navigator > Tools > Scheduled Processes.
  • Most financial users will have access to this interface so that they can run the standard reports for general ledger and other subledger applications.
From inside an Applications Work Area
  • Some seeded BI Publisher reports can already be executed from a Work Area, such as Receivables Transactions (Invoices, Credit Memos, Debit Memos), Purchase Orders, etc.
Directly from BI Publisher
  • Although not recommended, BI Publisher has the capability to run the report on the fly. However, note that you would need the appropriate BI roles to do this, such as BI Author, BI consumer, etc.
What are Data Models and Layouts?

A data model is a set of instructions for BI Publisher to retrieve the data and structure that data so that it can then be married to a layout. It is an object that will extract the data from a data source. Data model can incorporate prompts, list of values and parameters to filter out the data further. A Data Model can be created directly from the BI Publisher screen using the Data Model editor. 

A report layout basically allows you to display the data in a format the user understands. Note that a report can have multiple layouts using one Data Model. Complex Layouts can be created using a very powerful template builder that is add-in for Microsoft Word and Excel. Also, there are other tools that you can use, like JDeveloper, to build the layout, or you can simply write the XSL if you wish. There is a built-in Layout editor in BI publisher but I personally don’t recommend on using it as it is slow, unresponsive and limited in its use.

The data model and the layout does not have a one-to-one relationship, they are simply brought together at runtime, and they are independent of each other. You can have one data model, many layouts, or one layout, many data models. For example, a Data Model that extracts Tax Data can have two or more layouts, one for the government tax authorities and another for internal use.

What is Translation?

Translation means that BI Publisher supports multiple layouts of multiple translations. Your layouts might look the same, but in fact, the language in the layout could be different. This is indicated during the uploading of layout templates.

Customizing Seeded BI Publisher Reports

However, most times, an organization may have other reporting requirements that are not being met by the ones Oracle provides out of the box, such as company branding, Wording, Colors, etc. You find that some of our predefined reports are close, but not quite what you need, then what you can do is you can customize those reports. Oracle provides a way for users to customize reports and protect it from being overwritten during patching. Check out a separate article about customizing the layouts of seeded Oracle Fusion Applications reports.

Below are some more articles that show Customization of Seeded report layouts in Oracle Fusion Applications:
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