1. Copy the Existing Check Template from the Location :
2. Paste the Copied Check Template to the
Custom Folder
3. Edit the Template according to your Requirement
4. Login to Application with implementation user and click Data Exchange in Navigator
5. Click ‘Manage HCM Extract Definitions’ link
6. In the search region enter ‘Payments’ for the name, select ‘Payments’
for the Type and select the Legislative Data Group (LDG) for which you want to
create/customize the Check Template, and then click the Search button.
7. Click on Payments. The Edit Extract
Definition page will open. Click Extract Delivery Options and click Add in
Extract Delivery Options section. Create
a record for your Custom Check
8. Add the Following Details :
·
Start date
·
End Date
·
Delivery Option Name (In example, name is ‘AH Check Writer
Report’)
·
Output Type
·
Report (Report was created in /Custom/Human Capital
Management/Payroll/Payment Distribution folder and report name was AHChequeReport,
enter complete path as /Custom/Human Capital Management/Payroll/Payment
Distribution/AHChequeReport.xdo)
·
Output Name
·
Template (Name should match the layout name in the report
created in BIP. It was created with name ‘AH Check Writer Report’)
·
Delivery Type: - None
·
Overriding Delivery Mode: - ‘US Check Writer Report’
·
Locale: - en-US. It
can be different depending upon the language of the report
9. In Additional Details (the section after Report
categories), add an entry for the delivery option name for Standard Cheque. Here, the Delivery option name was given as
‘AH Check Writer Report’
Thanks for the good blog.
ReplyDeleteOracle Fusion HCM Online Training
Enjoyed reading the article above, really explains everything in detail, the article is very inter sting and effective. Thank you and good luck for the upcoming articles soa Online Training
ReplyDeleteThis is really nice to read the content of this blog. A very extensive and vast knowledgeable platform has been given by this blog. Visit: Microsoft Dynamic Nav Partners in UAE
ReplyDelete