Part 2->Oracle apps Receivables Implementation Questionnaire Part 2
2.2
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Project
Billing
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2.2.1
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Typically, how many project-related payments do you receive a month?
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2.2.2
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Do you use standard invoice lines with default accounting information?
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2.2.3
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Do you have any subsidiaries that bill customers in a foreign
currency?
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2.2.4
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Are there any other foreign currency issues regarding invoices and/or
payments?
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3
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Payment Processing
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3.1
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Payments
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3.1.1
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Describe your cash applications process.
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3.1.2
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Do you enter your payments in batches? How are batches identified?
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3.1.3
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How do your customers generally pay invoices? (Single check, single
invoice/single check, multiple invoices/multiple checks)
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3.1.4
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Do you use batch control counts and amounts?
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3.1.5
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Do you use more than one bank account and/or cash account?
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3.1.6
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Do you have customers who pay other customers’ invoices?
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3.1.7
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Do you use lockboxes?
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3.1.8
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How many lockboxes do you use?
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3.1.9
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Do you receive deposits and/or prepayments?
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3.1.10
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Do you receive non-customer related payments?
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3.1.11
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How are non-customer related payments accounted for?
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3.1.12
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How do you handle payments without remittance information?
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3.1.13
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What are your policies and procedures about adjusting payments?
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3.1.14
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What are your policies and procedures about reversing payments?
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3.1.15
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How many payments do you receive in a month?
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3.1.16
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How many checks are returned by the bank in a period?
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3.1.17
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What are the reasons for checks being returned by the bank?
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3.1.18
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Who applies cash?
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3.1.19
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How is cash applied?
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3.1.20
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Do you create charge backs (Debit Items) for customer deductions?
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3.2
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Collections
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3.2.1
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How do you enter/manage a credit amount owed to the customer by your
company?
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3.2.2
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How do you enter/manage a credit amount owed to your company by the
customer
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3.2.3
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What does your aging look like?
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3.2.4
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Do you send dunning letters to customers?
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3.2.5
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Do collectors actively call customers on delinquent items?
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3.2.6
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What is the process for tracking actions to collect on delinquent
accounts?
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3.2.7
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Is the process for tracking actions to collect on delinquent accounts
automated?
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3.2.8
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Do terms and conditions of customer agreements and/or payment terms
change based upon the status of their accounts?
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3.2.9
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Do you monitor performance of your collectors?
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3.2.10
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What metrics are used to monitor collections performance?
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3.2.11
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Do you do cash-flow requirements forecasting?
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3.2.12
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What sort of buckets do you use for cash-flow requirements
forecasting? (For example, 30, 60, 90...)
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3.3
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Reconciliation
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3.3.1
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Do you reconcile payments with the bank?
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3.3.2
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How do you reconcile payments with the bank?
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3.3.3
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How often do you reconcile payments with the bank?
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3.3.4
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How are bank reconciliation errors handled?
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