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FUSION CST: FAQ: Fusion Cost Management Inventory Valuation Reports (Doc ID 1301542.1)

Last updated on DECEMBER 04, 2023

Applies to:

Oracle Fusion Cost Management - Version 11.1.11.1.0 and later
Oracle Fusion Inventory Management Cloud Service - Version 11.13.19.07.0 and later
Oracle Fusion Cost Management Cloud Service - Version 11.13.19.07.0 and later
Information in this document applies to any platform.

Purpose

This FAQ is meant to address major questions concerning the Fusion Cost Management's Inventory and Period In-transit Valuation reports.  Note that while cost adjustments are also part of the Manage Inventory Valuation activity, they are covered in the <Document 1298876.1> - How to Adjust Item Costs.

Questions and Answers

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In this Document
Purpose
Questions and Answers
 What is a valuation report?
 What valuation reports are available in Fusion Costing?
 Why do the quantities in my Costing valuation reports differ from those in Inventory?
 What data selection/ summarization can I perform against the valuation reports?
 All the transactions have been costed, but the valuation is no longer correct due to damage/obsolescence.  How do I change it?
 Details missing or No Data on Period Inventory Valuation Report?
 
How to Run Period Inventory valuation report?

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