Outbound Transactions

In JD Edwards EnterpriseOne General Accounting, these programs call the Journal Entry MBF Processing Options (P0900049), which enable you to specify a version of the F0911 Interoperability Processing Options program (P0900160) to write information to the Account Ledger table (F0911). All of these programs can create outbound interoperability transactions:

  • Journal Entries (P0911).

  • Journal Entries with VAT (P09106).

  • Journal Entry Batch Processor (R09110Z).

  • Store and Forward JE Batch Processor (R09110ZS).

  • Recurring Journal Entry Compute & Print (R09302).

  • Indexed Computations Compute And Print Report (R093021).

  • Variable Numerator Compute and Print (R093022).

These General Accounting programs can also create outbound interoperability transactions, although they do not call the Journal Entry Master Business Function to write information to the F0911 table; instead, they use version ZJDE0001 of the F0911 Interoperability Processing Options program (P0900160):

  • General Ledger Post Report (R09801)

  • Detailed Currency Restatement (R11411)

The system stores outbound interoperability transactions that are created by General Accounting programs in the F0911 Interoperability Table (F0911Z4).