BOD publishing

In Infor EPM, use the BOD Publishing Administration tab to create the required ION tables in the integration staging database.

This table describes the fields:

Field Description
Server Name Name of the SQL Server that hosts the integration staging tables database.
Database Name Name of the integration staging database. The default is depm_int_designer.
Username Specify the user name to access the integration staging database.
Password Specify the password.
Tenant ID The Tenant ID property specifies the Tenant ID for published BODs. The default value is infor. For BOD messages to be routed correctly, the Tenant ID property must match the tenant specified in the ION connection points.
Logical ID Logical ID should match the configuration in ION Desk. This is the application that sends and receives the BODs.
Reverse Assets The Reverse Assets option specifies whether to reverse the sign for asset accounts when publishing financial data. To meet BOD standards, normal amounts for asset accounts should be positive.
Reverse Expenditures The Reverse Expenditures option specifies whether to reverse the sign for expense accounts when publishing financial data. To meet BOD standards, normal amounts for expense accounts should be positive.
Reverse Liabilities The Reverse Liabilities option specifies whether to reverse the sign for liability accounts when publishing financial data. To meet BOD standards, normal amounts for liability accounts should be negative.
Reverse Revenues The Reverse Revenues option specifies whether to reverse the sign for revenue accounts when publishing financial data. To meet BOD standards, normal amounts for revenue accounts should be negative.