Duplicating output generation rules
- Select BPA Designer > Rules.
- Select a rule record to copy.
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Click Actions > Duplicate.
The menu to duplicate a rule is displayed.
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Specify this information:
- Name
- Specify a unique name that identifies the
scenario. Valid characters are a-z, A-Z, and 0-9. The first
character should be an upper case letter.Note: IGFC generates a suggested name "{RuleName}_copy". When a copy of a rule exists with this name, succeeding duplicates will have an incrementing number appended to its generated name.
- Sender Entity
- Select the entity to which this rule applies. This list is
dynamic. For accounting framework integration, it displays sender
entities registered with an accounting entity. For flexible output
integration, the entities displayed depend on the selected Input
Document. If the input is a transactional BOD, sender entities
registered with an accounting entity are shown. If the input is a
master data BOD, all sender entities are shown.
See Registering entities and Mapping entities.
- Receiver Entity
- Select the entity to receive the output business document. This
list is dynamic. or accounting framework integration, it displays
receiver entities registered with an accounting entity. For flexible
output integration, the entities displayed depend on the selected
Output Document. If the output is a transactional BOD, receiver
entities registered with an accounting entity are shown. If the
output is a master data BOD, all receiver entities are shown.
See Registering entities and Mapping entities.
- Receiver Accounting Book
- This field is available only for accounting framework integration. Optionally, select the accounting book to where the journal is posted. This list is dynamic. If there are accounting books associated to the accounting entity of the selected Receiver Entity, the accounting books are displayed in the list. Also, if there are accounting books with the same logical ID as that of the selected Receiver Entity, the accounting books are shown with an asterisk prefix.
- Receiver Location Type
- This field is available only for accounting framework integration. Optionally, select the desired location type. This list is dynamic. If there are location types associated to the accounting entity of the selected Receiver Entity, the location types are displayed in the list. Also, if there are location types with the same logical ID as that of the selected Receiver Entity, the location types are shown with an asterisk prefix.
- Receiver Location
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This field is available only for accounting framework integration. Optionally, select the desired location. This is populated to the output SourceSystemJournalEntry business document. This list is dynamic. If there are locations associated to the accounting entity of the selected Receiver Entity, the locations are displayed in the list. Also, if there are locations with the same logical ID as that of the selected Receiver Entity, the locations are shown with an asterisk prefix.
For IGFC CE, the tenant value is also used to associate accounting books, location type and location to the selected Receiver Entity.
- Split Mapping
- Optionally, select the desired BOD registration where a splitting attribute field is mapped. This list is dynamic. It displays BOD registration of the selected output document.
- Split Attribute
- Select the desired attribute that is used as a basis for splitting the output business document. This list is dynamic. It displays the attributes associated to the selected BOD registration.
- Posting Method
- This field is available only for accounting framework
integration. Select a posting method. Possible values are Detailed
or Summarized.When Summarized is selected, you must specify this information:
- Account - Select the accounts by which to summarize journal entries. Possible values are All, Range, and Specific.
Specify the information for the remaining fields. The displayed fields depend on the option selected for Account.
For range of accounts, you must specify this information:- From - Select the starting account number of the range. This list is dynamic. If there are chart of accounts associated to the accounting entity of the selected receiver entity, the chart of accounts are displayed in the list. Also, if there are chart of accounts with the same logical ID as that of the selected receiver entity, the chart of accounts are shown with an asterisk prefix.
- To - Select the ending account number of the range. This list is
dynamic. If there are chart of accounts associated to
the accounting entity of the selected receiver entity,
the chart of accounts are displayed in the list. Also,
if there are chart of accounts with the same logical ID
as that of the selected receiver entity, the chart of
accounts are shown with an asterisk prefixFor specific accounts, you must select an account number in the field provided. This list is dynamic. It displays the account numbers associated to the selected Receiver Entity.Note: Click Add to include the range or specific accounts to the list.
For IGFC CE, the tenant value is also used to associate chart of accounts to the selected Receiver Entity.
- Activate
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Click Save.
The duplicate rule is displayed.Note: Changes to the rule setup take effect immediately. There is no need to activate the rule.Optionally, select this to automatically activate the duplicate rule record. This is available only when the rule script being copied is not blank.