Pages Used in Configuring the Fusion Accounting Hub Integration
These pages are used in configuring the Fusion Accounting Hub to PeopleSoft integration:
| Page Name | Object Name | Usage |
|---|---|---|
|
FAI_EXTSYS_SETUP |
Map any external system (third party) to PeopleSoft General Ledger. |
|
|
FAI_EXTSYS_MAP |
Map the fields from the 3rd Party interface table (FAH_ACCTG_LINE) to the available target fields in the PeopleSoft External Accounting Entry record (FAI_ACCTG_LINE). |
|
|
FAI_LEDGER_MAP |
Map the PeopleSoft Business Unit and Ledger combinations to the corresponding Fusion Ledger. |
|
|
FUS_ASGN_ACCTYPE |
Map Account Type values between PeopleSoft and the external system. |
|
|
CF_VALUESET_MAP |
Map the PeopleSoft SetID and ChartField combinations to the Fusion Value Set Codes. |
|
|
CF_EXP_TBLS |
Maintain ChartField export tables that are used to support incremental exports of ChartField values. |
|
|
CF_EXP_REQ |
Schedule multiple requests periodically to export the ChartField values (initial) and subsequent incremental changes for each SetID and ChartField combination to Fusion Accounting Hub. |