Using the PeopleSoft Fluid User Interface to Navigate My Receivables
This topic discusses how you can use the PeopleSoft Fluid User Interface to navigate to frequently used components in Receivables. You can perform receivables-related transactions through the fluid Receivables page.
Page Name |
Definition Name |
Usage |
---|---|---|
EP_AR_RECEIVABLESNC__FL_GBL |
Access a collection of Receivables components. |
|
My Receivables Design |
||
Receivables Business Unit |
BUS_UNIT_TBL_AR1 |
Associate a PeopleSoft Receivables business unit with a PeopleSoft General Ledger business unit and assign a location code to the unit. |
Bank Accounts |
BANK_PNL2 |
Set up external accounts. |
View AR Open Periods |
OPEN_PERIOD_SINGLE |
View existing open periods and adjustment periods for a business unit and ledger group. |
Payment Predictor Rules |
PP_METHODS_TABLE |
Define a Payment Predictor method. |
My Customers & Contacts |
||
Maintain Customer Information |
CUST_GENERAL1 |
Add or review customers’ names and level information and assign associated roles. |
Quick Add/View Customers |
QUICK_CUST_SRCH |
Search for customers or enter new customers. |
Add/View Contacts |
CONTACT |
Create and maintain information about each contact. |
Customer Contracts |
CA_MYCONTRACTS |
View a list of contracts that you are actively tracking or managing. |
Customer Hierarchy |
AR_CUST_VISUALIZE |
View and navigate customer details and hierarchical relationships as well as access transactional pages to take action. |
My Receivables Items |
||
Create Receivables Items |
GROUP_ENTRY1 |
Enter or update control information. |
Review Pending Items |
GROUP_ENTRY1_DSP |
Review the posting results for groups. |
Customer Item List |
ITEM_LIST |
View a list of items for a customer that matches your search criteria. |
Maintenance Worksheet |
WS_IDENTIFY_IC |
Create a new worksheet, or add and change items on an existing maintenance worksheet |
Receivables Update |
POSTING_REQUEST |
Enter run parameters for the Receivables Update process for specified business units and run the process |
My Payment Processing |
||
Express Payment |
PYMNT_EXPRESS1 |
Enter information and control totals for a new deposit. |
Regular Deposit |
PAYMENT_DATA1 |
Enter regular deposit totals, including information and control totals for a new deposit. You can also delete a deposit. The Totals page is unavailable if the deposit has been reconciled with a bank statement. |
Payment Application |
PAYMENT_IDENT_IC |
Create a new worksheet, modify an existing one, and select items to include in the worksheet. |
Create Direct Journal Entry |
PAYMENT_MISC_DST |
Create or change accounting entries for payments that are to be journaled directly. |
Lockbox Processing |
LOCKBOX_REQUEST |
Run the Lockbox SQR process that imports lockbox files to the staging tables. |
Receivables Update |
POSTING_REQUEST |
Enter run parameters for the Receivables Update process for specified business units and run the process |
My Accounting |
||
Journal Generator |
JRNL_GEN_REQUEST |
Initiate Journal Generator processing. |
My Collections |
||
Collections Workbench |
COLLECTION_WRKBNCH |
Track and manage customer data and collections, as well as contracts. |
Owner Action List |
OWNER_ACTION |
Review a list of open actions that are assigned to a specific owner. |
Review Statements |
CUSTOMER_STMTS |
Review all statements for a customer. View the total amount of the statement and the customer's current balance. View the statement type. Also, view the balance forward amount for balance forward statements. |
Review Overdue Charges |
CUSTOMER_OC_CHGS |
View summary and detail information for all overdue charge invoices. |
My Reporting & Analysis |
||
Journal Inquiry |
INQ_JRNL_CRITERIA |
Review summary and detail journal information for a specific business unit, ledger, and period. |
Receivables Aging |
BUS_UNIT_AGING |
View aging summary information at the business unit level. |
Reporting Console See the product documentation for PeopleTools: Process Scheduler. |
PT_CONSOLE |
Provides a single interface for a user to manage and schedule reports. From the Reporting Console users can run a report, schedule a report, and organize reports. |
Receivables WorkCenter |
||
AR_WORKCENTER_FL |
Manage Receivables activities in one location. |
Use the Receivables tile to access a collection of Receivables components.
Navigation:
The Receivables tile is delivered as part of the Employee Self Service home page, but the location can change if administrators change the delivered home pages.
This example shows the Receivables tile as displayed on a tablet.

This example shows the Receivables tile as displayed on a phone.

Click the Receivables tile to access the Receivables navigation collection.
This example shows the Receivables page as displayed on a tablet.

This example shows the Receivables page as displayed on a phone.

This navigation collection enables users to access frequently used Receivables components from one location. The left panel of this page lists the components collected under different categories:
My Receivables Design
My Customers & Contacts
My Receivables Items
My Payment Processing
My Accounting
My Collections
My Reporting & Analysis
You can also access the Receivables WorkCenter from the left panel.
The right panel displays the component selected in the left panel.