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Oracle Accounting Hub Training is a 40-hour, basic-to-advanced, practical and job-oriented course designed to help learners understand centralized accounting, Subledger Accounting (SLA), accounting rules, integrations, journal entries, reporting, and reconciliation. Learn how to transform transaction data from Oracle and non-Oracle systems into standardized accounting entries and gain practical knowledge for real-world implementation and support scenarios. Ideal for Oracle Finance professionals, accounting professionals, functional consultants, and IT professionals looking to build Oracle Accounting Hub skills.
Duration of Training : 40 Hours
Batch type : Weekdays/Weekends
Mode of Training : Classroom/Online/Corporate Training
Detailed Syllabus • Hands-on Labs • Assignments • Support-Focused • Implementation
Curriculum Designed by Experts
Oracle Accounting Hub is used to create a centralized accounting engine that transforms transaction data from Oracle and non-Oracle source systems into standardized accounting entries.
The training covers:
Source Transactions → Accounting Rules → Subledger Accounting → Journal Entries → General Ledger → Reporting & Reconciliation
The program focuses on Oracle Accounting Hub Cloud / Subledger Accounting (SLA) concepts, configuration, accounting rules, integrations, reporting, reconciliation, and realworld implementation/support scenarios.
• Basic accounting knowledge
• Understanding of General Ledger concepts
• Basic knowledge of debit & credit
• Familiarity with ERP systems is beneficial
• Basic SQL knowledge is helpful
• Prior Oracle Financials knowledge is advantageous but not mandatory
• Understanding of business transactions such as AP, AR, Assets and Procurement is useful
Accounting Fundamentals
• Accounting principles
• Debit and credit
• Chart of Accounts
• Accounting calendar
• Ledgers
• Legal entities
• Business units
• Accounting books
• Journal entries
• Trial balance
• Financial reporting
Oracle Financials Fundamentals
• Oracle Fusion Cloud ERP overview
• Oracle Financials architecture
• General Ledger overview
• Subledger architecture
• Source transactions
• Accounting events
• Accounting entries
• Transfer to General Ledger
• Posting process
Accounting Hub Fundamentals
• What is Oracle Accounting Hub?
• Why Accounting Hub is required
• Accounting Hub architecture
• Accounting Hub vs General Ledger
• Accounting Hub vs traditional subledgers
• External source systems
• Source transaction integration
• Accounting transformation
• Centralized accounting model
Core Technical Topics — Main Syllabus
• Oracle Accounting Hub overview
• Accounting Hub Cloud architecture
• Accounting Hub components
• Subledger Accounting architecture
• Transaction sources
• Accounting events
• Event classes
• Event types
• Event entities
• Accounting methods
• Accounting rules
• Journal entry generation
• SLA to General Ledger flow
Practical
• Trace a transaction from source system to GL
• Understand Accounting Hub processing flow
• Analyze accounting event lifecycle
• Enterprise structure
• Legal entities
• Business units
• Ledgers
• Primary and secondary ledgers
• Chart of Accounts
• Accounting calendars
• Currency configuration
• Ledger options
• Accounting conventions
• Balancing segment
• Cost center
• Natural account
• Intercompany segment
• Management segment
Lab
Enterprise & Ledger Configuration Lab
• External source systems
• Source application registration
• Source transaction types
• Source transaction identifiers
• Transaction attributes
• Reference data
• Source transaction integration
• Transaction import concepts
• Source transaction validation
• Source transaction lifecycle
Lab
External Transaction Source Configuration Lab
• Accounting events
• Event entities
• Event classes
• Event types
• Event models
• Event status
• Event processing
• Event validation
• Event accounting
• Event reversals
• Event sequencing
• Accounting event troubleshooting
Lab
Accounting Event Creation & Analysis Lab
• SLA architecture
• Subledger Accounting engine
• Accounting event processing
• Create Accounting process
• Draft accounting
• Final accounting
• Transfer to GL
• Journal import
• Accounting entry lifecycle
• Accounting entry status
• Accounting distributions
Lab
SLA Accounting Generation Lab
• Accounting Method
• Accounting Method Builder concepts
• Standard accounting methods
• Custom accounting methods
• Assigning accounting methods
• Accounting method configuration
• Accounting method activation
• Accounting method testing
Lab
Accounting Method Configuration Lab
• Journal Entry Rule Sets
• Journal entry rules
• Debit and credit rules
• Accounting entry lines
• Journal line types
• Conditions
• Rule conditions
• Accounting entry descriptions
• Supporting references
• Rule sequencing
• Rule assignments
Lab
Journal Entry Rule Configuration Lab
• Account Rules
• Account combinations
• Segment rules
• Account derivation
• Mapping sets
• Constant values
• Sources
• Conditions
• Segment-based account derivation
• Dynamic account derivation
• Account validation
Lab
Account Derivation & Mapping Set Lab
• Mapping Set concepts
• Mapping Set inputs
• Mapping Set outputs
• Lookup-based accounting
• Multiple input mappings
• Default values
• Mapping Set conditions
• Account derivation using Mapping Sets
Lab
Dynamic Account Derivation Using Mapping Sets
• Journal entry descriptions
• Line descriptions
• Header descriptions
• Source-based descriptions
• Dynamic descriptions
• Business-specific accounting descriptions
Lab
Dynamic Journal Description Lab
• Supporting references
• Reference values
• Transaction attributes
• Accounting analysis
• Reconciliation support
• Drill-down concepts
• Reporting requirements
• Audit requirements
Lab
Supporting Reference & Reconciliation Lab
• Multiperiod accounting concepts
• Recognition periods
• Accounting dates
• Deferred accounting
• Revenue/expense recognition
• Multiperiod accounting rules
• Accounting schedules
Lab
Multiperiod Accounting Configuration Lab
• Intercompany transactions
• Intercompany balancing
• Intercompany accounting rules
• Due-to / Due-from accounts
• Balancing rules
• Cross-ledger transactions
• Reconciliation
Lab
Intercompany Accounting Lab
• SLA → GL integration
• Transfer to General Ledger
• Journal Import
• Journal batches
• Journal headers
• Journal lines
• Posting
• GL reconciliation
• Drill-down from GL to subledger
• Accounting inquiry
Lab
SLA-to-GL Integration & Reconciliation Lab
• Accounting reports
• Subledger reports
• Journal reports
• Account analysis
• Trial balance
• GL reconciliation
• Transaction reconciliation
• Accounting entry inquiry
• Audit trail
• Period-end reporting
Lab
Accounting Reconciliation & Reporting Lab
• Oracle Fusion data concepts
• Accounting-related tables/views
• Transaction analysis
• Journal analysis
• SLA accounting data
• GL journal data
• SQL-based reconciliation
• Joins
• Aggregations
• Exception analysis
Lab
Accounting Data Analysis Using SQL
• External application integration
• REST API concepts
• SOAP concepts
• File-based integration
• FBDI concepts
• Oracle Integration Cloud overview
• Source transaction interfaces
• Integration error handling
• Transaction validation
• Accounting processing automation
Lab
External System → Accounting Hub Integration
• Accounting reports
• Complex accounting rules
• Multiple accounting representations
• Multiple ledgers
• Foreign currency accounting
• Multi-GAAP accounting
• Custom accounting requirements
• Complex account derivation
• Advanced Mapping Sets
• Accounting rule optimization
• High-volume accounting
• Period-end accounting
• Audit and compliance
• Production support
Students work on practical labs such as:
1. Oracle Accounting Hub Navigation Lab
2. Enterprise Structure Lab
3. Ledger & Chart of Accounts Lab
4. External Source System Configuration Lab
5. Accounting Event Lab
6. SLA Accounting Engine Lab
7. Accounting Method Lab
8. Journal Entry Rule Lab
9. Account Rule Lab
10. Mapping Set Lab
11. Description Rule Lab
12. Supporting Reference Lab
13. Multiperiod Accounting Lab
14. Intercompany Accounting Lab
15. SLA-to-GL Transfer Lab
16. GL Reconciliation Lab
17. SQL Accounting Analysis Lab
18. External Transaction Integration Lab
19. Accounting Error Resolution Lab
20. End-to-End Accounting Hub Implementation Lab
20 Job-Oriented Assignments
1. Design an Oracle Accounting Hub architecture
2. Configure a basic ledger structure
3. Define accounting events
4. Identify event classes and event types
5. Configure an accounting method
6. Create journal entry rules
7. Create debit/credit accounting rules
8. Configure an account rule
9. Create Mapping Sets
10. Derive accounts dynamically
11. Configure journal descriptions
12. Configure supporting references
13. Configure a multiperiod accounting scenario
14. Configure intercompany accounting
15. Process accounting entries
16. Transfer accounting entries to GL
17. Reconcile SLA with GL
18. Analyze accounting data using SQL
19. Troubleshoot failed accounting
20. Prepare an Accounting Hub implementation document
Mini Project 1 — Order-to-Accounting
External sales transactions → Accounting Hub → Revenue & Receivable accounting → GL.
Mini Project 2 — Expense Accounting
Employee/expense transactions → Accounting rules → Expense accounts → GL.
Mini Project 3 — Intercompany Accounting
Intercompany transactions → Due-to/Due-from accounting → GL reconciliation.
Mini Project 4 — Multi-GAAP Accounting
Create different accounting treatments for different accounting requirements.
Mini Project 5 — External Application Integration
External transaction system → Accounting Hub → SLA → GL.
Capstone Project 1 — End-to-End Oracle Accounting Hub Implementation
Build a complete Accounting Hub solution covering:
External Source System → Transaction Import → Accounting Events → Accounting Rules → Account Derivation → SLA → GL → Reconciliation → Reporting
Deliverables:
• Business requirement document
• Solution architecture
• Source transaction design
• Accounting event design
• Accounting method
• Journal entry rules
• Account rules
• Mapping Sets
• Accounting entries
• GL integration
• Reconciliation report
• Test cases
• Production support document
Capstone Project 2 — Enterprise Multi-Source Accounting Hub
Create a centralized accounting solution receiving transactions from:
• Sales system
• Billing system
• Procurement system
• Expense system
• External applications
Implement:
• Multiple transaction sources
• Accounting rules
• Dynamic account derivation
• Multiple ledgers
• Intercompany accounting
• Multi-GAAP accounting
• SLA → GL processing
• Reconciliation
• Exception handling
• Reporting
Students will work through scenarios such as:
• External transaction imported but not accounted
• Incorrect debit/credit generated
• Wrong natural account derived
• Mapping Set returning incorrect account
• Accounting event not created
• Create Accounting process failure
• SLA entries not transferred to GL
• GL journal not posted
• SLA and GL balances not matching
• Intercompany accounting imbalance
• Incorrect accounting date
• Multiperiod accounting issue
• Duplicate accounting entries
• Missing transaction attributes
• Invalid account combination
• Accounting rule not triggering
• Period closed during accounting
• Foreign currency accounting difference
• High-volume accounting processing issue
• External system integration failure
• Month-end accounting reconciliation
Accounting Issues
• Accounting event failure
• Create Accounting errors
• Invalid accounting rule
• Incorrect journal entry
• Incorrect account derivation
• Missing Mapping Set value
• Invalid account combination
Integration Issues
• Source transaction not imported
• Interface validation failure
• REST/API integration error
• FBDI/interface error
• Integration transaction rejected
GL Issues
• SLA → GL transfer failure
• Journal Import failure
• Unbalanced journal
• Posting failure
• Reconciliation mismatch
Production Support
• Period-end accounting failure
• High-volume processing delay
• Duplicate accounting
• Missing accounting entries
• Incorrect accounting treatment after configuration change
Oracle
• Oracle Fusion Cloud ERP
• Oracle Accounting Hub
• Oracle Subledger Accounting (SLA)
• Oracle General Ledger
• Oracle Financials Cloud
• Oracle Integration Cloud
Supporting Technologies
• Oracle SQL
• REST APIs
• SOAP APIs
• FBDI
• Excel
• BI Publisher
• OTBI
• Oracle Transactional Business Intelligence
• Oracle Financial Reporting
• Postman
• SQL Developer
• Design accounting rules based on business requirements
• Maintain clear source-to-account mappings
• Use Mapping Sets for reusable account derivation
• Follow consistent naming conventions
• Maintain proper rule documentation
• Validate accounting before production deployment
• Implement strong reconciliation procedures
• Maintain audit trails
• Follow segregation of duties
• Avoid unnecessary customization
• Test accounting rules with positive and negative scenarios
• Maintain Dev/Test/Production separation
• Document configuration changes
• Perform regression testing after rule changes
• Monitor accounting and integration errors
• Establish month-end support procedures
Potential certification/training pathways include:
• Oracle Financials Cloud certification
• Oracle Financials Cloud General Ledger certification
• Oracle Financials Cloud Accounting Hub / Subledger Accounting training
• Oracle Fusion Financials certification
• Oracle General Ledger implementation certification
• Oracle Accounting Hub implementation training certificate
• Oracle Financials Cloud implementation specialist training
Oracle certification names and exam structures can change, so the current Oracle certification catalog should be checked before advertising a specific exam code.
Students practice questions covering:
• Accounting Hub architecture
• SLA concepts
• Accounting events
• Accounting methods
• Journal Entry Rules
• Account Rules
• Mapping Sets
• Intercompany accounting
• SLA → GL flow
• Integration
• Reconciliation
• Production support
• Troubleshooting scenarios
Includes: Technical interview + Scenario-based interview + Project discussion.
• Oracle Accounting Hub project-based resume
• Oracle Fusion Financials skills mapping
• SLA configuration experience
• Accounting rule experience
• Integration experience
• Production-support responsibilities
• Project description preparation
• ATS-friendly resume optimization
• LinkedIn profile guidance
• Job-role mapping
• Interview preparation
• Mock interviews
• Resume screening
• Job application guidance
• Oracle Financials interview scenarios
• Project explanation training
• Support for entry-level and experienced candidates
• Placement assistance through relevant hiring opportunities
Target Job Roles
• Oracle Accounting Hub Consultant
• Oracle Fusion Financials Consultant
• Oracle Financials Functional Consultant
• Oracle SLA Consultant
• Oracle General Ledger Consultant
• Oracle Financials Implementation Consultant
• Oracle Financials Support Consultant
• Oracle Accounting Functional Consultant
• Oracle Fusion Finance Business Analyst
• Oracle Financials Technical/Functional Consultant
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