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Chapter Contents: 

Invoices

Integration checks for invoices ready for posting every 10 seconds and send the invoices immediately after they have been identified. The invoices are transferred to Xledger which has a scheduled job picking up new invoices at a certain interval. The scheduled job in Xledger can also be triggered manually by a User.


Company

Invoices are transferred to the company in Xledger registered on the invoice in Dataloy VMS. The company code in Dataloy VMS Master Data must match an Xledger company code for data to be transferred.


VAT

VAT invoice lines in Dataloy VMS are ignored from the invoice lines transferred to Xledger, but is included in the total amount.


GL Account

An invoice will not transfer to Xledger unless a GL Account is setup for the account in use on invoice.


Field Mapping


DataloyXledger HeaderXledger LinesExample
Vessel codePosting1, cost centerPosting1, cost center 
Voyage reference numberPosting2, projectPosting2, project 
  XGL

If xgl property in integration properties = poolCode, then poolCode is inserted in XGL

If xgl property in integration properties = isTc, then XGL = TC for TC voyages and VC for VC voyages

If property is not set then XGL = DLVMS

  Posting3If company country = Singapore and business partner country = Singapore then Posting3 = LS else Posting3 = FS
Business partner code from Dataloy document headerSubledgerNo  
Business partner code from Dataloy document line SubledgerNoIf there is a co broker or broker commission on hire payable, then SubledgerNo = business partner code from Dataloy document line
Due date from payment term DueDateIf there is a co broker or broker commission on hire payable, DueDate is set on Xledger line
Due date from payment termDueDate 

Credit Note: todays date

Otherwise: due date from Dataloy VMS payment terms

VAT code TaxRule 
Document currencyCurrencyCurrency 
Document amountCurrencyAmountCurrencyAmount 
Company currency amountAmountAmount 
Document dateVoucherDateVoucherDate 
Document dateInvoiceDate  
Document date yearFiscalYearFiscalYear 
Document date monthPeriodNoPeriodNo 
Document line text Text 
External document numberInvoiceNoInvoiceNoIf external document number in Dataloy is empty InvoiceNo = Dataloy document number
 XIdentifierXIdentifier

In Dataloy external document number users can append a pipe | and enter KID after external document number. For example: 1234|000123. This field is optional.

Business partner bank accountSubledgerBankAccount  
 VoucherTypeVoucherType

Invoice In and Credit In: AP

Invoice Out and Credit Out: AR

Otherwise: GL

Document IDVoucherNoVoucherNo 
GLAccountAccountAccount

Invoice Lines: GL Account

Invoice In, Credit In: APX account in Dataloy

Invoice Out, Credit Out: ARX account in Dataloy

 

Project and Cost Center

Integration checks for new data that is ready for posting every 10 seconds and then posts it immediately. The data will transfer to all companies or to a group company if this is setup.

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Business Partner

Integration checks for new data that is ready for posting every 10 seconds and then posts the data immediately. It is possible to setup which Dataloy Business Partner Type/s are to be transferred as customers and suppliers. The  data will transfer to all companies or to a group company if this is setup.

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Exchange Rate

Exchange rates are transferred from Xledger to Dataloy VMS once daily, Monday to Friday.

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Payments

Payments are collected from Xledger to Dataloy VMS every hour (on the hour). All payments for one month back in time is collected. The Xledger transaction types transferred are: DR, AB, OCR, BA, GL, CHD. For a payment to be transferred to Dataloy VMS a payment and an invoice must have the the matching ID and the invoice must have a reference to a Dataloy VMS invoice. If a payment is missing in Dataloy VMS, check:

  1. Setup Xledger Test Client.
  2. Open the Xledger Test Client and enter:
    1. User Name: username.
    2. Password: password.
    3. EntityCode: Company code for the company that the invoice belongs to.
    4. Web Service Method: Export - GetSupplierTransactions or Export - GetCustomerTransactions depending on if its customer og supplier transaction, (when uncertain do two requests to get all payments).
    5. Free Text: leave blank.
    6. Filter: Set a date filter to avoid too much data.

      Example:

      [Created] > "2016-03-01 00:00:00".

    7. DataOption: All
  3. Copy the data from Step 2 above to a text editor and search for <MatchID>insert a match id</MatchID>.
  4. Locate the transaction with <TrSource> = AP or AR. This is the invoice and should have a <InvoiceNo> matching a tbl_document.document_no in Dataloy VMS.
  5. Locate the transaction with one of the <TrSource> values: DR, AB, OCR, BA, GL, CHD, EFT, DGL
    1. If 4 or 5 is missing, then this is the reason why no payment has been transferred to Dataloy VMS.
    2. If both 4 and 5 is there, there is a problem with the integration. Register a support case at Dataloy Support.

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Actuals

Actuals are collected from Xledger to Dataloy VMS every hour (on the hour), in test it is transferred every 10 minutes. Actuals created since last actuals run will be transferred. The process is listed below:

  1. Collect all projects from Xledger for companies listed in integration.properties
  2. For all companies in integration.properties and all gl accounts in Dataloy except for the following accounts: FOC, DOC, FLC, DLC, APX and ARX
    1. Collect data from GeneralLedger service in Xledger that has been created within last hour (since last actuals run)
      1. Voyage is collected from GLObjectValue2Code
        1. If GLObjectValue2Code is not a Dataloy voyage, then skip this transaction
      2. Special case
        1. If account = freight and related voyage is tc
          1. use account charter hire instead
        2. if account = charter hire and related voyage is vc
          1. use account freight instead
  3. If project related to GeneralLedger record is open for posting (field is called allowPosting in Xledger service) and XGL code = VMS
    1. If actual is already inserted to Dataloy
      1. Update actual in Dataloy
    2. If actual is not existing in Dataloy
      1. Insert actual in Dataloy

 

Setup Xledger Test Client

Xledger Test Client can be used to  retrieve data from Xledger that can be used for investigating a problem, for instance missing payments from Xledger to Dataloy VMS. To setup the client:

  1. Install a certificate for the Xledger user account in Windows. To install:
  2. Download, unzip, install and run http://apps.xledger.net/CertificateManager/XCertificateManagerSetup.zip.
    1. Select Get New Certificate.
    2. Enter the Xledger Web Service User Name and Password.
    3. Select Get Security Code (E-mail).
    4. Enter the Security Code.
    5. Select Get Certificate. The certificate will automatically be installed.
  3. Download and install Xledger Test Client: http://apps.xledger.net/WebServices/XWSTestClient.zip.
  4. Start the client and check that the certificate is listed in the first drop down selector.
  5. Enter username and password.
  6. Select Web Service Method.
  7. Filter needed data.
  8. Always use DataOption: All
  9. Click Get DataSet to contact the Xledger Web Service.

    Example:



    Attachment

    From version 3.2, attachments can be transferred together with the invoice to Xledger. To do this, use the Assemble and Attach button when assembling an invoice. When the invoice is posted transferred to Xledger, the attachment will exist in Xledger. Its currently only possible to transfer one attachment and the format must be pdf or tiff.

         

 

Information that View Maritime needs to provide to Dataloy when setting up a new Xledger Integration

  • Should we be using Xledger test or demo for testing?
  • View Maritime will setup companies and also add "konsern" as company in VMS. Provide the list of companies and "konsern" to Dataloy.
    • Companies should be linked to "konsern" using company link
  • What info should we send in Posting1 and Posting2?
  • Should VAT be setup automatically
    • If yes, which VAT code
  • Should actuals/accruals be setup?
  • Are there any custom requirements?

 

 

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