Reviewing the details of a printing definition
The detail view of the Printing Definitions page, shows the details of the selected printing definition.
To review the details of a printing definition:
- Select Transformation > Configuration > Printing Definitions.
- Click the Drill down button of a printing definition to display the detail view of the Printing Definitions page.
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Review the header information of the selected printing definition:
- Effective from Date
- This field defines the start date of the valid period for the configuration.
- When editing, click the Calendar button to select the start date from a calendar.
- Effective to Date
- This field defines the end date of the valid period for the configuration.
- When editing, click the Calendar button to select the end date from a calendar.
- Partner Hierarchy Name
- The partner hierarchy name is a classification for a group of communication partners. A partner hierarchy must exist for this configuration.
- Partner ID
- The partner ID is the hierarchy node of the configuration that
identifies a communication partner or a group of communication partners. When editing,
select the partner ID from the drop-down list. The drop-down list shows the entries of
the
TradingPartners
code list. - Message Type
- The message type defines the content of the message. Examples are VDA 4905, VDA 4915, ASC X12 830 Planning Schedule with Release Capability, or ASC X12 862 Shipping Schedule.
- Message Direction
- The message direction is Inbound for incoming messages or Outbound for outgoing messages.
- Printing Rule Index
- This is the index of the printing definition. The index is used to support multiple print rules for the same partner ID, message type, message direction, and date range.
- Accounting Entity
- The accounting entity is a corporation or a subset of a corporation. The accounting entity is independent in regard to one or more operational functions or accounting functions. An accounting entity produces a P&L and balance sheet from a complete, balanced set of transactions, and is often a legal entity. An accounting entity is defined within a tenant and can contain locations. The field entry is disabled. The accounting entity is automatically set when you save the data. The default is the accounting entity where you are currently working.
- Remark
- Review or provide a short description that clarifies the purpose of the configuration.
- Review the Note field set. The field set shows comments that are specified for the printing definition.
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Review the printing parameter lines at the bottom of the page.
Transformation
currently supports these printing parameters:
Printing parameters Description Accounting Entity The parameter provides the accounting entity. Accounting Entity Description The parameter provides the description of the accounting entity. Component The parameter provides the functional area. Language Code The parameter provides the language in InterFormNG. Location The parameter provides the location. Location Description The parameter provides the description of the location. Style Sheet Name The parameter provides the name of the XSLT
style sheet that controls the print processing in Transformation. TheXSLT
style sheet defines how to transform anXML
input file into anXML
output file. The Format File Descriptions for incoming and outgoing messages are automatically linked to the style sheet if they are defined in theStyleSheetRules
code list. If no style sheet is used, you must specify *none. If you have specified a style sheet name, you must also specify the additional print parameters.Subtype The parameter provides additional information for the template that is used by InterFormNG. Tenant The parameter provides the tenant. Trading Partner The parameter provides the trading partner. Type The parameter provides the template that is used by InterFormNG to print the print request.