Registering a Source Application with Financial Gateway
This topic provides an overview of the registration process and discusses how to register source applications that are to be integrated with Financial Gateway.
Page Name |
Definition Name |
Usage |
---|---|---|
PMT_REGISTRATION |
Register a source application by defining the high-level information that is needed to process payments using Financial Gateway. |
To establish integration, you must first register the source applications with Financial Gateway. The registration process defines the methods and data structures that are employed to send payments from source applications to Financial Gateway and payment acknowledgments from Financial Gateway back to the source applications. Registration also defines information to be included with the payment message that is used for validating the payment, creating a unique payment ID, and determining the status of the payment during the settlement process. Integration with PeopleSoft applications is accomplished using a delivered set of integration modules.
Use the Source Registration page (PMT_REGISTRATION) to register a source application by defining the high-level information that is needed to process payments using Financial Gateway.
Navigation:
This example illustrates the fields and controls on the Source Registration page with Financials source system (1 of 2). You can find definitions for the fields and controls later on this page.

This example illustrates the fields and controls on the Source Registration page with Financials source system (2 of 2). You can find definitions for the fields and controls later on this page.

Integration Details
The Integration Details field values are preconfigured for integration between Financial Gateway and other PeopleSoft applications. Changes should only be made for registering third-party applications.
Field or Control |
Description |
---|---|
Inbound Integration Type and Outbound Integration Type |
Choose from the following options:
|
Inbound Node |
Select the integration node to use if the External Publish check box is selected. |
Root Package ID |
Enter an application-class, package name. This field appears only if Application Class is selected as an outbound integration type. This value is delivered for integration with other PeopleSoft source applications. |
Path |
This field appears only if Application Class is selected as an outbound integration type. This value is delivered for integration with other PeopleSoft source applications. |
Application Class ID |
This field appears only if Application Class is selected as an outbound integration type. This value is delivered for integration with other PeopleSoft source applications. |
Node Name |
Select a node to be used for communication between the source application and Financial Gateway using the Integration Broker. This field appears only if Integration Broker is selected as an outbound integration type. |
External Source |
Select to enable the Execute Edit functionality that provides an additional level of data validation when you are importing payments from third-party applications. |
External Publish |
Select to send the PAYMENT_REQUEST message from the source application to Financial Gateway using an Integration Broker node. This field is available only if Application Class is selected as the inbound integration type. |
Financial Sanctions Validation |
Select to require financial sanctions validation of payees for payments from this source application before they can be loaded into Financial Gateway. |
Dispatch on Load |
Click to enable lights-out processing for payment dispatch in Financial Gateway. If the Dispatch on Load check box is selected, the system schedules payment dispatch for each PMT_MSG_ID upon payment load. Note: PeopleSoft Global Payroll sends multiple PMT_MSG_IDs in a payroll run, so selecting this option will create multiple payment files. If Global Payroll does not want to generate multiple files, deselect this check box and dispatch payment separately. |
Send Load Response Errors Only |
Select to receive errors only during the Payment Load process. The default is to receive all response messages. This option is available only when Integration Broker is selected in the Outbound Integration Type field. |
Send Remittance Advice |
Select to indicate that Financial Gateway will send a remittance notification based on the entered Report Definition ID and Remittance Email ID as sender's address for each source system. This functionality is currently available only for PeopleSoft Financials source applications. |
Report Definition ID (report definition identification) |
Enter the remittance advice report ID. |
Report Email ID (report email identification) |
Enter the email address of the sender of the remittance advice report. |
Status Integration Details
The Status Integration Details group box enables you to select the number and types of payment statuses for determining the progress or state of each payment that is sent to a bank from a source application through Financial Gateway. This group box does not appear if None is selected as the outbound integration type. Select from the following choices:
Canceled: Identifies a payment that has been canceled. This status can be sent only in response to a request to cancel a payment by a source application.
Error: An error message can be generated and returned during any phase of the processing. If Financial Gateway cannot resolve the error, then the error message is returned to the source system to identify that the payment will not be executed without source application rework. An error message could be returned before a loaded status. Error messages consist of an error code and a description.
Flagged for Hold: The payment is being held from further processing until a manager or other approving authority gives approval to process it further.
Awaiting Dispatch: The status after the payment is successfully persisted in the Financial Gateway database. A unique ID is generated in Financial Gateway and is returned to the source application with this status.
In Process: Payment is currently in the process of being sent to the bank by the Dispatch Payment Application Engine.
Dispatched to Bank: Payment has been sent to bank. When a payment progresses to this status, it can no longer be canceled.
Received by Bank: Payment has been received by bank and is being processed.
Paid: Payment has been settled.
Payment Numbering Properties
Field or Control |
Description |
---|---|
Payment ID Prefix |
Designate an alphanumeric prefix to use to identify the source application of the payment. |
Last Payment Number |
Represents the payment identification number of the last payment that was sent by the source application. This value is automatically updated as payments are sent to Financial Gateway. |
Drill Back Details
This functionality defines how the user can drill back to the source application to view details of a payment in Financial Gateway.
Note: Drill back functionality is currently available only in PeopleSoft Financials source applications. The Drill to Source Transaction field defaults to None for Global Payroll.
Field or Control |
Description |
---|---|
Drill to Source Transaction |
Choose a method for drilling back to the source application to view transaction details. Select from the following values:
|
Menu Name |
Enter a valid PeopleTools object menu name. This field appears only if Component or DoModal Component is selected in the Drill to Source Transaction field. |
Component Name |
Enter a valid PeopleTools object component. This field appears only if Component or DoModal Component is selected in the Drill to Source Transaction field. |
Open in New Window |
Select to view transaction details in another Web browser when drilling back into a source application. This option is available only if External URL or Component is selected in the Drill to Source Transaction field. |
Source System Key Information
Specify the metadata that are used by Financial Gateway to retrieve payment information from the source application. The retrieved payment data can be selected for display in Financial Gateway on the Review Payment Requests Page and the Review Payment Details Page. These field values are delivered preconfigured for PeopleSoft source applications.
Field or Control |
Description |
---|---|
Source Fieldname |
Select a field from the source application that contains payment data to be displayed in Financial Gateway. |
Destination Field |
Select the field in the Payment Gateway records that stores the corresponding information found in the source field that is listed in the Source Fieldname field. |
Include in URL |
Select to include the field within the URL that is generated to pass control back to the source system. This provides the source system with navigation to the appropriate page and the appropriate content. |
Field Label ID |
Enter a label that is used to display the destination field. |
Display in Payment Details |
Select to display field values on the Review Payment Requests page and Review Payment Details page. |
Seq (sequence) |
Enter numbers that specify the order in which the fields are displayed on the Payment Details page. |