What is the difference between 11I AND R12?

Answers were Sorted based on User's Feedback



What is the difference between 11I AND R12?..

Answer / narayana.chinni

Some of the differences between 11i and R12

11i
1.Payment manager was not in use in 11i to pay multiple invoices
R12
1.Payment manager is in use to pay invoices automatically

11i
2.In 11i there is no 4c's concept
R12
2.In R12 4c's concept is in use where 4c's stands for calender,Chart of Accounts,Currency,Accounting method

11i
3.In 11i Operating unit,legal entity are created using organization form in HRMS or Inventory responsibility
R12
3.In R12 OU and legal entity, primary ledger is created in Accounting setup manager web page

Is This Answer Correct ?    4 Yes 0 No

What is the difference between 11I AND R12?..

Answer / tejakarnati

R12:  
1. Multi-Org Access Control 
2, Supplier Work Bench
3. Create Accounting Program 
4. New Customer Interface
5. AP Invoices New Features 
6. Buyer Workbench
7. Reporting Currency Option replacing MRC 

Is This Answer Correct ?    0 Yes 0 No

Post New Answer

More Oracle Apps Financial Interview Questions

what is MD050 & wat specifications are included in it

5 Answers   Meru Cabs,


Can anybody tell me, What is the Implementation Process?

5 Answers   IBM, TCS,


I have a existing Oracle applicttions and need to bring one of the new business on it. The new business will use GL, AP and FA. We will use existing COA. This business will have 3 sets of books (1- tax book, from April to March; 2- Primary book, from July to June; 3- Reporting book, from July to June); All books will have same currency; HOW DO I TRANSFER DATA FROM PRIMARY BOOK INTO TAX AND REPORTING BOOKS EVERY MONTH? IS THERE ANY STANDARD ORACLE PROCESS WHICH CAN BE SCHEDULED? THE REPORTING BOOK WILL HAVE DIFFERENT DEPRECIATION METHOD SO HOW DO I NOT TRANSFER DEPRECIATION FROM PRIMARY TO REPORTING BOOK AND DO SEPERATE DEPRECIATION IN REPORTING BOOK FOR THE SAME ASSET THAT IS ALSO IN PRIMARY AND TAX BOOK?. HOW DO I APPROACH ON SETTING THESE NEW SETS OF BOOKS? Thank you in advance for your help.

3 Answers   Oracle,


Where can I put the command to get the details of the tables, although I know the name of different tables

1 Answers  


Prepared transaction for 1000$, Received receipt from customer For 1000$, Transaction and receipt closed. customer returned 200$ worth goods, He wants refund for 200$. how can you achieve this.

2 Answers   Accenture, Cap Gemini,






what is the md50 document and explain

4 Answers   IBM,


What r the Documents We can create while implementation?

2 Answers   TCS,


What is the significance of asset books in FA? Types?

1 Answers  


What is the difference between Currency Translation, conversion and revaluation?

2 Answers   Oracle,


Can I increase/decrease the size of value set?

4 Answers  


Define the Multi Org ? What is difference between 11i and 12i Multi Org Structure ?

2 Answers  


What is the difference between Electronic fund transfer and wire?

1 Answers   Genesis,


Categories
  • Oracle Apps Technical Interview Questions Oracle Apps Technical (547)
  • Oracle Apps Financial Interview Questions Oracle Apps Financial (793)
  • Oracle Apps Manufacturing Interview Questions Oracle Apps Manufacturing (53)
  • Oracle Apps HRMS Interview Questions Oracle Apps HRMS (169)
  • Oracle Apps CRM Interview Questions Oracle Apps CRM (9)
  • Oracle Apps SCM Interview Questions Oracle Apps SCM (141)
  • Oracle Install Base Interview Questions Oracle Install Base (62)
  • Oracle Service Contracts Interview Questions Oracle Service Contracts (101)
  • Oracle Apps AllOther Interview Questions Oracle Apps AllOther (114)