This appendix provides an overview of the reports in the this PeopleBook.
Note. For samples of these reports, see the Portable Document Format (PDF) files published on CD-ROM with the documentation.
See Also
Enterprise PeopleTools 8.46 PeopleBook: Introduction to PeopleSoft Reporting, "PeopleSoft Reporting Tools"
This section lists the reports in this PeopleBook.
Customer reports.
Product reports.
Product nVision reports.
Return material authorization (RMA) reports.
Cash drawer reports.
Note. nVision reports are run only from the PeopleTools window client.
Report ID and Report Name |
Description |
Navigation |
Run Control Page |
AR31001 |
Lists all customers by business unit for the setID. |
Customers, Reports, Customers by SetID, TableSet Customers Accounts Receivable, Customer Accounts, Customer Reports, Customers by SetID, TableSet Customers |
RUN_AR31001 |
AR31002 |
Lists all customers for the business unit. |
Accounts Receivable, Customer Accounts, Customer Reports, Customers by Unit, Business Unit Customers Customers, Reports, Customers by Unit, Business Unit Customers |
RUN_AR31002 |
AR31003 |
Lists customer contacts by SetID, including their title, phone, and fax numbers. |
Customers, Reports, Contacts by SetID, TableSet Contacts Accounts Receivable, Customer Accounts, Customer Reports, Contacts by TableSet, TableSet Contacts |
RUN_AR31003 |
AR31004 |
Lists customer contacts by business unit, including their title, phone, and fax numbers. |
Accounts Receivable, Customer Accounts, Customer Reports, Contacts by Unit, Business Unit Contacts Customers, Reports, Contacts by Unit, Business Unit Contacts |
RUN_AR31004 |
OMC3210 |
Lists the address and the processing options for Sold To Customers for the selected setID. (Crystal) |
Customers, Reports, Sold To Customer Master, Sold-To Customer Master |
RUN_OMC3210 |
OMC3240 |
Lists each sold to customer, its status, and all associated ship to and bill to customers in order of priority for the selected SetID. (Crystal) |
Customers, Reports, Sold To Cust Relationships, Sold-To Cust Relationships |
RUN_OMC3240 |
OMC3220 |
Lists the address and the processing options for Ship To Customers for the selected SetID. (Crystal) |
Customers, Reports, Ship To Customer Master, Ship-To Customer Master |
RUN_OMC3220 |
OMC3260 |
Lists each ship to customer, its status, and all associated customer relationships in order of priority for the selected setID. (Crystal) |
Customers, Reports, Ship To Cust Relationships, Ship-To Cust Relationships |
RUN_OMC3260 |
OMC3230 |
Lists both block and standing ship date exceptions by ship to customer for the selected SetID. (Crystal) |
Customers, Reports, Ship Date Exceptions |
RUN_OMC3230 |
Report ID and Report Name |
Description |
Navigation |
Run Control Page |
OMC4100 |
Lists all products by SetID. Identifies the item ID, status, and whether the product is a product kit, among other details. |
Products, Reports, Product Master |
RUN_OMC4100 |
OMC4200 Product Price List |
View list prices for products, unit of measure, and ship from warehouses. |
Products, Reports, Product Price List |
RUN_OMC4300 |
OMC4300 |
View which products and or product groups belong to a product catalog. |
Products, Reports, Product Catalogs |
RUN_OMC4300 |
Report ID and Report Name |
Description |
Navigation |
Run Control Page |
OMBOOKP |
Product bookings by business unit |
Run from the PeopleTools window client. |
OM_BOOKP.XLS |
OMSALEP |
Product sales by business unit |
Run from the PeopleTools window client. |
OM_SALEP.XLS |
OMBOOKC |
Customer bookings by business unit. |
Run from the PeopleTools window client. |
OM_BOOKC.XLS |
OMSALEC |
Customer sales by business unit |
Run from the PeopleTools window client. |
OM_SALEC.XLS |
OMPRC |
Product Prices |
Run from the PeopleTools window client. |
OM_PRC.XLS |
Report ID and Report Name |
Description |
Navigation |
Run Control Page |
INS3000 |
Lists RMA transactions for internal and external locations. Use this report to provide staff at the internal or external locations with an acknowledgment of a return request and direction on where to send the returned materials. You can also generate this report to aid receiving clerks in matching returned material at the receiving docks with an RMA in the PeopleSoft system. For each RMA, this report includes header and line information. |
Inventory, Manage Returned Material, RMA Report, Returned Material Authorization |
RUN_INS3000 |
OMS3000 |
Lists the details of an authorized return for a customer. Note. Notes are printed on the RMA report without configuration. |
Customer Returns, Reports, RMA, Print RMA |
RUN_OMS3000 |
OMS7100 |
Lists RMAs by business unit. |
Customer Returns, Reports, RMA Register, RMA Register |
RUN_OMS7100 |
OMS7110 |
Lists RMA line for products that are not returned by the estimated return date on the RMA Line page. |
Customer Returns, Reports, Overdue RMAs, Overdue RMAs |
RUN_OMS7110 |
Report ID and Report Name |
Description |
Navigation |
Run Control Page |
CDRDEPST |
Print a bank deposit slip from the reconciliation. This slip lists cash to deposit, as well as a list of the checks (check number and amount ) to deposit. |
Accounts Receivable, Payments, Cash Drawer, Print Bank Slip Deposit |
RUN_CDR_PRNTDEP |