Simulating a Set of Transactions Imported from an External Source
Use the following procedure to perform a simulation of a set of transactions imported from an external source.
To perform a bulk transaction simulation imported from an external source
- Navigate to the Loyalty Promotions Administration screen, then the Programs view. 
- Click a Program ID. 
- Select the Simulate Transaction Details tab. 
- Select the Simulate Bulk Transactions tab. 
- Select the Input Format from the list. 
- Specify the Reason Code, by selecting an item from the list of values, or by typing in a new value. 
- Enter the output Batch Size Note: The Status field remains as New until it is simulated.
- Enter the full path and file name of the transaction source in the File text box. Note:- The file type must match the Input Format entered in step 5. 
- Click Simulate. - An XML file is generated with a summary of the bulk transaction simulation. - For information about configuring the destination folder for the XML file, refer to Configuring Summary XML File Destinations for Simulations.