R12 Using WEB ADI To Upload Oracle Assets White Paper
R12 Using WEB ADI To Upload Oracle Assets White Paper
R12 Using WEB ADI To Upload Oracle Assets White Paper
Introduction
The presentation will explain detailed solutions on how to use WEB ADI to convert legacy data to Oracle Assets. This papers focus is on best practices for preparing assets data for upload, creating documents and defining layouts, data upload and upload reconciliation.
Browser settings to be modified for Excel interface: 1) Select 'Tools' -> 'Internet Options -> 'Security' (Tab) from the browser menu. 2) Select the appropriate zone i.e. 'Trusted Sites' -> 'Custom Level' (button) 3) Under the 'Downloads' section, ensure 'File download' is enabled.
ActiveX Controls and plug-ins Settings: - If you are running Web ADI version BNE.D or later, you do not need to perform this step. If you are running a version of Web ADI prior to version BNE.D, you must change your Internet Explorer security settings to allow a spreadsheet to be created on your desktop:
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1) Select 'Tools' -> 'Internet Options -> 'Security' (Tab) from the browser menu. 2) Select the appropriate zone you are using i.e. 'Trusted Sites' -> 'Custom Level' (button) 3) Set the option 'Initialize and script Active X controls not marked as safe' to 'Prompt' or 'Enable' . In case document fails during upload - in Internet Explorer 7 or 8 enable the 'Allow status bar updates via script' option in the browser as follows: 1) Select 'Tools' -> 'Internet Options -> 'Security' (Tab) from the browser menu. 2) Select the appropriate zone you are using i.e. 'Trusted Sites' -> 'Custom Level' (button) 3) Set 'Allow Status bar updates via script' to 'Enable'.
2. Select Define Layout 3. Select Integrator - Fixed Assets - Additions After selecting the Define Layout link, you will be prompted to select an Integrator. All Layouts are defined under an Integrator. An Integrator indicates the Oracle Applications task you will be performing on the desktop. The Integrator you choose in this screen determines the list of fields that can be included in your Layout. 4. Look for in LOV 5. Find Integrator
6. Click on
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7. Select the Layout From this screen, you can create, edit, view and delete Layouts for an Integrator.
8. Define Layout New Layouts can be created for the selected Integrator by pressing the Define Layout button in the main Layout page. Layout Name - A screen will appear prompting you for a name and key for the new Layout. The Layout name is what users will see in the Create Document Page Flow. The key is a unique value used internally to reference the Layout. Once you save the Layout, the key cannot be changed. There cannot be any spaces in the Layout Key; only uppercase English, numeric and underscore characters can be used. Set the Key to Layout Name_Your Initials. This serves as a standard for Layout Keys, and also assures what you enter is unique. You must also select a Column List. This determines the list of columns you will have to choose from when choosing the fields to include in your Layout. If you choose the first value in the Column List LOV, you will be able to upload values from your desktop to Oracle Applications when using the Layout. All other selections will create Layouts that do not allow upload. These read only Layouts can be used with Contents to generate documents for reporting purposes. 9. After you select the existing layout to modify, click on 10. Name the new layout
11. Click 12. Find the new Layout and Update 13. Select the Layout 14. Define Fields Use the following screen to determine the placement of fields, add optional fields, and set default values for fields.
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Default is:
15. Update to meet your company needs and standards 16. When complete, click on
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2) Select a Corporate Book you want to upload The corporate depreciation book in which you want to create assets. NOTE: when using Security by Book, your list of values may be limited to set of books associated with your responsibility
4) Select Layout you defined (or use seeded) Layout templates allow you to select the fields that should be included in the asset worksheet. They also control the order in which the data fields appear on your worksheet. You can create a new layout template, edit, view, copy, rename, or delete an existing layout template.
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5) Review
6) Click on 7) Depending on your Internet Explorer setup, you might get a following message:
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Note do not click on Cancel 12) Once document created you will get message
14) Suggestion save the spreadsheet (as many spreadsheets as you have based on different layouts) on your Finance sheared drive NOTE: Document has to be saved as Excel Macro-Enabled Workbook
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iii) Minor iv) As many Flexfields as you have b) After the last column add five columns i) ii) Province/Country-State City
iii) As many Flexfields as you have c) Also add columns you plan to upload i) ii) Units Expense Account
7) Map/Assign each asset to corresponding Oracle Assets Category a) Valid Categories Combinations are: i) List valid Categories Combinations
b) Assign assets to a valid category listed - add that category as a value for each asset where column Assets Category
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i) ii)
NOTE copy and paste the values do not use spaces after Once all categories assigned, use columns Major for the first flexfield value; and columns Minor for second flexifed value. Example: if category is OFFICE.FURN FIX & EQUIP, copy OFFICE to column Major and FIX & EQUIP to column Minor
8) Map/Assign each asset to corresponding Oracle Assets Location a) Valid Location Combinations are: i) List valid Location Combinations
b) Assign assets to a valid locations listed - add that location as a value for each asset where column Location i) ii) NOTE copy and paste the values do not use spaces after Once all categories assigned, use columns Province/Country-State, City, Building, Room to assign each flexfield value. Example:
9) Assign Asset Key to each Asset a) Valid Asset Key Values are: i) List Valid Asset Values
10) To each asset, assign valid depreciation account 11) To each asset, assign valid # of units 12) Upload Data 13) Reconcile Mass Addition Interface Table uploaded assets to the assets on ADI Template 14) Post the assets from Interface Table to Asset Workbench 15) Reconcile posted assets to ADI Template
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1) Use Upload from Oracle Excel Menu to upload data (Use Add-Ins Button on the spreadsheet)
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5) If there are issues; list of issues will be listed and they need to be corrected in excel
Note if you do not have Create Assets flag on during upload; Create Mass Addition process in Oracle Assets needs to be run
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Conclusion
WEB ADI is spreadsheet based application that can be used by functional users to upload data to Oracle E Business Suite applications. Oracle Assets uses Fixed Assets Integrator to automatically uploads data into Oracle Assets.
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