Export

Before you can export data based on audit trail, you must make sure of the following:

  • The exchange scheme and the batches that contain the tables that use the audit procedure are based on audit: Select the Based on Audit check box in the Exchange Schemes (daxch0101s000) details session and the Exchange Using Audit check box in the Batches (daxch0104m000) session.

    Refer to Master data, for a detailed description of these sessions.

  • Audit trail is activated for the involved tables. Use the Generate Audit Configuration (daxch1201m000) session to generate the audit settings for the tables in your exchange scheme. Refer to Miscellaneous, for a detailed description of this session. You can start this session from the Specific menu in the Exchange Schemes (daxch0501m000) session.

To be sure that all changes made in the database are audited, a transaction notification is created in the database for each database transaction being audited. The transaction notification is inserted within the user transaction, and used by Exchange to collect the audit data, to ensure that all changes are processed.