Using the PeopleSoft Fluid User Interface to Navigate My Treasury
This topic discusses how you can use the PeopleSoft Fluid User Interface to navigate to frequently used components in Treasury. You can perform treasury-related transactions through the fluid Treasury Management page.
Page Name |
Definition Name |
Usage |
---|---|---|
Treasury Tile |
EP_TR_NAV_COLL_FL |
Access a collection of Treasury components. |
Cash Forecast Results |
||
CSH_FCST_RESULTS |
Assess and optimize enterprise cash flow. |
|
My Banking Design |
||
Business Unit Options |
BUS_UNIT_OPT_TR |
Set up default processing options specific to your Treasury business units. |
Bank Information |
BANK_PNL1 |
Define each bank and its general characteristics. |
External Bank Accounts |
BANK_PNL2 |
Set up external accounts. |
Cash Sweep Structures |
CSH_SWEEP_DEFN |
Define the master bank account, currency, and cash position worksheet for a physical cash sweep. |
Accounting Entry Templates |
ACCTG_TEMPLATE_AP |
Define or modify an accounting entry template. |
EFT Templates |
TR_WR_TEMPLATE_FR |
Enter template origin information. |
My Bank Account Management |
||
My Account Groups |
BNK_ACCTGRP_FAV |
Assign a group of accounts to the current user or review the user's list of bank account groups. |
Import Bank Statements |
BSP_IMPORT |
Import bank statement data using the PSBD1 layout (or PSBD2 layout for Cash Management) into the Bank Statement staging tables. |
Reconciliation Manager |
BNK_RCN_MGR |
Perform automatic, semi-manual, or manual reconciliation for statements for a single bank. |
Book to Bank Reconciliation |
BNK_BTB_REC_MGR |
Search for statements marked ready for Book to Bank reconciliation, review balance details, and schedule the process to perform Book to Bank data extraction and balance calculations. |
Semi-Manual Reconciliation |
BNK_RCN_SEMI_MAN |
Reconcile statements semi-manually when there is not a one-to-one match between your bank and system transactions and you have reconciliation exceptions. |
Bank Statement Accounting |
BNK_BSAC_HDR |
Define bank statement accounting match rules. |
Bank Acct Analysis Validation |
FA_BNK_STMT_VALID |
Validate a statement against a fee structure. |
My Cash Management |
||
Review Cash Forecast Results |
CSH_FCST_RESULTS |
Assess and optimize enterprise cash flow. |
Cash Sweep Results |
CSH_SWEEP_RESULTS |
Review and update cash sweep results. |
Enter Wires and Transfers |
TR_WIRE_PNL |
Enter transfer origin information. Capture data on the account from which funds will be furnished for the transfer. |
Settlement Manager |
STL_MGR |
Review and manage all settlement activity from a central location. |
Review Netting Results |
NET_INQUIRY_HDR |
Review information on a single netting relationship. |
Financial Gateway Pmt Dispatch |
PMT_INQUIRY |
Manually send selected payments to a bank from Financial Gateway. |
Acknowledgement Files |
PMT_FILE_ACK_DEFN |
View a listing of imported payment acknowledgement files. |
Override Payment Status |
PMT_STAT_OVR |
Change the status of payments. |
My Deal Management |
||
Portfolio Manager |
TRX_PORTFOLIO_DTL |
Monitor groups of portfolios. |
Deal Details |
TRX_DETAIL_TR |
Enter deal details for each instrument type. |
Confirm Deals Manually |
TRX_SUMMARY_TR |
Select a confirmation status for a specified deal. |
My Treasury Accounting |
||
Automated Accounting |
TRA_ACCTG_REQ |
Run the Automated Accounting process, which creates accounting entries and prepares them for the Journal Generator (FSPGJGEN) process. |
Accounting Entries |
TRA_ACCTG_LINE |
Review and adjust automated accounting entries. |
Process Accounting Integration Process Accounting Integration Page |
TR_AE_RUNCNTL |
Run Treasury Journal Integration processing (TR_JRNL_INT). |
Journal Generator |
JRNL_GEN_REQUEST |
Initiate Journal Generator processing. |
My Reporting and Analysis |
||
Ledger Inquiries |
INQUIRY_CRITERIA |
View ledger detail and summary information based on selected criteria. |
Run nVision Reports |
NVS_REPORT_RQST |
Enter the criteria necessary to run a PS/nVision report (FUNDSTAT report). |
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. |
Accounting Entries |
TRA_ACCTG_LINE |
Review and adjust automated accounting entries. |
Treasury WorkCenter |
||
CM_WORKCENTER |
Manage Treasury activities in one location. |
Use the Treasury tile to access a collection of Treasury components.
Navigation:
The Treasury 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 Treasury tile as displayed on a tablet.

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

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

This example shows the Treasury Management page as displayed on a phone.

This navigation collection enables users to access frequently used Treasury components from one location. The left panel of this page lists the components collected under different categories:
Cash Forecast Results
My Banking Design
My Bank Account Management
My Cash Management
My Deal Management
My Treasury Accounting
You can also access the Treasury WorkCenter from the left panel.
The right panel displays the component selected in the left panel.