This chapter discusses delivered workflows for PeopleSoft bank processing.
See Also
Enterprise PeopleTools 8.46 PeopleBook: Workflow Technology
Enterprise PeopleTools 8.46 PeopleBook: Using PeopleSoft Applications
This section discusses PeopleSoft banking workflows. The workflows are listed alphabetically by workflow name.
This section discusses the Exceptions workflow.
Description
Event Description |
When you run the Reconciliations Exceptions process (TR_RECON_EXC) from the Route Reconciliation Exception page (TR_AE_RUNCNTL). |
Action Description |
Routes names of exception items to an assigned user's worklist for review. |
Notification Method |
Worklist |
Active or Inactive |
Active |
Workflow Objects
Approval Rule Set |
None |
Business Process |
Processing Bank Statements (TR_PROCESS_BANK_STATEMENT) |
Activity Guide |
Auto Bank Acct Reconciliation |
Role |
None |
Target View Page |
Recon Exceptions page (TR_BNK_EXCP) |
This section discusses the Facility Review workflow.
Description
Event Description |
When you run the Monitor Expiring Facilities process (TR_FCLTY_RVW) from the Schedule Facilities Review page (TR_AE_RUNCNTL). |
Action Description |
Routes names of expiring facilities to an assigned user, through worklist or email. |
Notification Method |
Worklist |
Active or Inactive |
Active |
Workflow Objects
Approval Rule Set |
None |
Business Process |
Managing Banks and Counterparties (TR_MANAGE_BANKS_COUNTERPARTIES) |
Activity Guide |
Monitor Counterparty Facilities |
Role |
None |