XML Publisher
XML Publisher
48
PeopleBook: XML Publisher for
PeopleSoft Enterprise
June 2006
Enterprise PeopleTools 8.48 PeopleBook: XML Publisher for PeopleSoft Enterprise
SKU PT848XML-B 0606
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Contents
General Preface
About This PeopleBook ............................................................................. .. .. ... ..ix
PeopleSoft Enterprise Application Prerequisites... ........................................................ . . . . . . . . .ix
Application Fundamentals..................................................................................... . . . . . . . . .ix
Documentation Updates and Printed Documentation..................................................... ..........x
Obtaining Documentation Updates.................................................................................x
Downloading and Ordering Printed Documentation..............................................................x
Additional Resources.......................................................................................... . . . . . . . . .xi
Typographical Conventions and Visual Cues............................................................... .........xii
Typographical Conventions........................................................................................xii
Visual Cues................................................................................................... . . . . . . .xiii
Country, Region, and Industry Identifiers................................................................. . . . . . . .xiii
Currency Codes.....................................................................................................xiv
Comments and Suggestions.................................................................................. ........xiv
Common Elements Used in PeopleBooks.................................................................. ........xiv
Preface
XML Publisher for PeopleSoft Enterprise Preface............................................ .......xvii
XML Publisher for PeopleSoft Enterprise Preface......................................................... . . . . . . .xvii
Chapter 1
Getting Started with XML Publisher.............................................................. ..........1
XML Publisher Overview...................................................................................... ..........1
XML Publisher Implementation............................................................................... ..........2
Chapter 2
Understanding XML Publisher..................................................................... ..........5
XML Publisher Business Processes......................................................................... ..........5
XML Publisher Security........................................................................................ ..........6
Chapter 3
Setting Up XML Publisher........................................................................... ..........9
Chapter 4
Using XML Publisher................................................................................. . . . . . . . .13
Creating Report Definitions................................................................................... . . . . . . . .13
Understanding Report Definitions......................................................................... . . . . . . .13
Pages Used to Create Report Definitions................................................................ . . . . . . .14
Defining Reports............................................................................................. . . . . . . .14
Associating Templates...................................................................................... . . . . . . .17
Setting Output Options...................................................................................... . . . . . . .19
Setting Security Options.................................................................................... . . . . . . .21
Setting Bursting Options.................................................................................... . . . . . . .22
Registering Data Sources..................................................................................... . . . . . . . .26
Understanding Data Source Registration................................................................ . . . . . . .26
Page Used to Register Data Sources..................................................................... . . . . . . .26
Registering Data Sources.................................................................................. . . . . . . .26
Using the Content Library to Maintain Sub-templates..................................................... . . . . . . . .28
Understanding Sub-templates............................................................................. . . . . . . .29
Page Used to Maintain Sub-templates................................................................... . . . . . . .29
Maintaining Sub-templates................................................................................. . . . . . . .29
Maintaining Template Translations........................................................................... . . . . . . . .31
Understanding Template Translations.................................................................... . . . . . . .31
Pages Used to Maintain Template Translations......................................................... . . . . . . .32
Searching Template Translations.......................................................................... . . . . . . .32
Maintaining Template Translations........................................................................ . . . . . . .33
Running XML Publisher Reports...... ....................................................................... . . . . . . . .36
Pages Used to Run XML Publisher Reports............................................................. . . . . . . .36
Running Reports in Query Report Viewer................................................................ . . . . . . .36
Scheduling Reports in Query Report Scheduler......................................................... . . . . . . .37
Searching the XML Publisher Report Repository....................................................... . . . . . . .39
Appendix A
Working with XML Publisher Technology....................................................... . . . . . . . .43
Managing Objects.............................................................................................. . . . . . . . .43
Appendix B
Creating Report Templates......................................................................... . . . . . . . .49
RTF Templates.................................................................................................. . . . . . . . .49
Creating RTF Templates.................................................................................... . . . . . . .49
Incorporating Sub-templates............................................................................... . . . . . . .50
Including Images............................................................................................. . . . . . . .51
PDF Templates................................................................................................. . . . . . . . .52
Working with PDF Templates.............................................................................. . . . . . . .53
Creating PDF Templates.................................................................................... . . . . . . .53
Mapping Data Tags.......................................................................................... . . . . . . .54
eText Templates................................................................................................ . . . . . . . .55
XSL Templates.................................................................................................. . . . . . . . .55
Index .............................................................................................................79
PeopleSoft Enterprise PeopleBooks provide you with the information that you need to implement and use PeopleSoft
Enterprise applications from Oracle.
This preface discusses:
• PeopleSoft Enterprise application prerequisites.
• Application fundamentals.
• Documentation updates and printed documentation.
• Additional resources.
• Typographical conventions and visual cues.
• Comments and suggestions.
• Common elements in PeopleBooks.
Note. PeopleBooks document only elements, such as fields and check boxes, that require additional explanation. If an
element is not documented with the process or task in which it is used, then either it requires no additional explanation
or it is documented with common elements for the section, chapter, PeopleBook, or product line. Elements that are
common to all PeopleSoft Enterprise applications are defined in this preface.
Application Fundamentals
Each application PeopleBook provides implementation and processing information for your PeopleSoft
Enterprise applications.
For some applications, additional, essential information describing the setup and design of your system appears
in a companion volume of documentation called the application fundamentals PeopleBook. Most product lines
have a version of the application fundamentals PeopleBook. The preface of each PeopleBook identifies the
application fundamentals PeopleBooks that are associated with that PeopleBook.
The application fundamentals PeopleBook consists of important topics that apply to many or all PeopleSoft
Enterprise applications. Whether you are implementing a single application, some combination of applications
within the product line, or the entire product line, you should be familiar with the contents of the appropriate
application fundamentals PeopleBooks. They provide the starting points for fundamental implementation tasks.
Important! Before you upgrade, you must check Oracle’s PeopleSoft Customer Connection for updates to the
upgrade instructions. Oracle continually posts updates as the upgrade process is refined.
See Also
Oracle’s PeopleSoft Customer Connection, http://www.oracle.com/support/support_peoplesoft.html
Additional Resources
The following resources are located on Oracle’s PeopleSoft Customer Connection website:
Resource Navigation
Typographical Conventions
This table contains the typographical conventions that are used in PeopleBooks:
Visual Cues
PeopleBooks contain the following visual cues.
Notes
Notes indicate information that you should pay particular attention to as you work with the PeopleSoft
Enterprise system.
If the note is preceded by Important!, the note is crucial and includes information that concerns what you must
do for the system to function properly.
Warnings
Warnings indicate crucial configuration considerations. Pay close attention to warning messages.
Cross-References
PeopleBooks provide cross-references either under the heading “See Also” or on a separate line preceded by
the word See. Cross-references lead to other documentation that is pertinent to the immediately preceding
documentation.
Country Identifiers
Countries are identified with the International Organization for Standardization (ISO) country code.
Region Identifiers
Regions are identified by the region name. The following region identifiers may appear in PeopleBooks:
• Asia Pacific
• Europe
• Latin America
• North America
Industry Identifiers
Industries are identified by the industry name or by an abbreviation for that industry. The following industry
identifiers may appear in PeopleBooks:
• USF (U.S. Federal)
• E&G (Education and Government)
Currency Codes
Monetary amounts are identified by the ISO currency code.
Select Always to run the request every time the batch process runs.
Select Don’t Run to ignore the request when the batch process runs.
Process Monitor Click to access the Process List page, where you can view the status of
submitted process requests.
Report Manager Click to access the Report List page, where you can view report content, check
the status of a report, and see content detail messages (which show you a
description of the report and the distribution list).
Request ID An ID that represents a set of selection criteria for a report or process.
Run Click to access the Process Scheduler request page, where you can specify the
location where a process or job runs and the process output format.
SetID An ID that represents a set of control table information, or TableSets.
TableSets enable you to share control table information and processing options
among business units. The goal is to minimize redundant data and system
maintenance tasks. When you assign a setID to a record group in a business
unit, you indicate that all of the tables in the record group are shared between
that business unit and any other business unit that also assigns that setID to
that record group. For example, you can define a group of common job codes
that are shared between several business units. Each business unit that shares
the job codes is assigned the same setID for that record group.
Short Description Enter up to 15 characters of text.
User ID An ID that represents the person who generates a transaction.
This chapter provides an overview of XML Publisher and discusses XML Publisher implementation.
Select features of Oracle’s XML Publisher product have been integrated into and enhanced for use with
PeopleTools. XML Publisher for PeopleSoft Enterprise makes Oracle XML Publisher technology natively
accessible from PeopleSoft Query as well as any PeopleTools based applications providing XML data. XML
Publisher for PeopleSoft Enterprise provides an environment for managing templates, data sources, reports,
translations, and content components. It also offers an electronic bursting capability to produce reports
according to a user-defined criteria and the reports can be secured using an application’s security join table. A
set of PeopleCode XML Publisher classes for runtime report generation is also provided.
Note. As with other PeopleTools delivered features, XML Publisher for PeopleSoft Enterprise utilizes
managed object functionality, and you do not have the ability to use the switching feature of multilanguage
data entry. Related Language tables can be populated by logging in and establishing a different session
language. The Related Language table for that session can then be populated.
Step Reference
1. Define XML Publisher settings. See Chapter 3, “Setting Up XML Publisher,” Defining
XML Publisher Global Engine Settings, page 9.
2. Set up XML Publisher permission list security. See Chapter 2, “Understanding XML Publisher,” XML
Publisher Business Processes, page 5.
4. Define report categories, including Report Definition See Chapter 3, “Setting Up XML Publisher,” Setting Up
Editor security. Report Categories, page 10.
5. Download design plug-ins to facilitate the offline See Chapter 3, “Setting Up XML Publisher,” Working with
template design activities. Template Design Helpers, page 11.
Step Reference
1. Identify or create the source of your report data. See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft
Query, “Creating and Running Simple Queries” and
Data sources can be PeopleSoft queries, rowsets, Appendix A, “Working with XML Publisher Technology,”
XML document objects, or XML files. For PeopleSoft Creating a Custom Report, page 43.
queries, you can create or update the queries and query
specifications.
2. Register schema and sample data files for XML See Chapter 4, “Using XML Publisher,” Registering Data
Publisher data sources. Sources, page 26.
Create Templates
To create templates, perform the following steps:
Step Reference
1. Download schema and sample data from the appropriate See Chapter 4, “Using XML Publisher,” Defining Reports,
data source to facilitate template design. page 14.
2. Use well-known technologies and tools like Microsoft See Appendix B, “Creating Report Templates,” page 49
Word and Adobe Acrobat to develop and maintain custom and Chapter 4, “Using XML Publisher,” Using the Content
report formats. Library to Maintain Sub-templates, page 28.
3. (Optional) Create and maintain reusable sub-template See Chapter 4, “Using XML Publisher,” Using the Content
definitions. Library to Maintain Sub-templates, page 28.
4. (Optional) Register translation .XLF files for report See Chapter 4, “Using XML Publisher,” Maintaining
templates and Content Library sub-templates. Template Translations, page 31.
Step Reference
1. Define reports by associating data sources with layout See Chapter 4, “Using XML Publisher,” Defining Reports,
template files. page 14.
Step Reference
1. Schedule Query-based XML Publisher reports. See Chapter 4, “Using XML Publisher,” Scheduling
Reports in Query Report Scheduler, page 37.
2. Schedule other XML Publisher reports. See Appendix A, “Working with XML Publisher
Technology,” Creating a Custom Report, page 43.
Step Reference
3. View Query-based XML Publisher reports online See Chapter 4, “Using XML Publisher,” Running Reports
real-time. in Query Report Viewer, page 36.
4. View other XML Publisher reports online real-time. See Appendix A, “Working with XML Publisher
Technology,” Creating a Custom Report, page 43.
Step Reference
1. Locate XML Publisher reports using enhanced search See Chapter 4, “Using XML Publisher,” Searching the
criteria. XML Publisher Report Repository, page 39 and Enterprise
PeopleTools 8.48 PeopleBook: PeopleCode API Reference,
“XML Publisher Classes,” Search Operator Values.
2. View XML Publisher reports in the Report Manager. See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft
Process Scheduler, “Using Report Manager,” Viewing
Reports.
XMLP Report
Developer XMLP Power User PeopleSoft User
(PTPT2600) (PTPT2500) (PTPT1000)
XMLP Report
Developer XMLP Power User PeopleSoft User
(PTPT2600) (PTPT2500) (PTPT1000)
Application security and Process Scheduler security determine who can run reports. XML Publisher does
not provide additional security beyond what PeopleSoft currently provides. That means that the component
security of the data extraction program drives access control to the associated reports. For processes, process
security prevails and for queries, query security prevails. When running a Query-based report, the requester’s
row level security to the underlying data source always applies.
Query-based reports viewed online real-time from the Query Report Viewer respect query access groups
for the user’s primary permission list. For non-Query-based reports viewed online real-time, security is
controlled by the application.
When viewing a report that was run through either the Query Report Scheduler or the Process Scheduler,
security is controlled by both the Distribution ID field on the Report Definition, Security page and, when the
Allow viewer ID assignment at report runtime is selected, by those IDs selected at runtime on the Process
Scheduler Request, Distribution Detail page. Additional viewing security can also be defined for bursted
reports on the Report Definition, Bursting page.
If no viewers are designated on the Report Definition, Security page, the report requestor’s ID is applied as
a viewer by default at runtime. This means that bursted reports also always have the requestor entered as a
viewer unless there is a specifically designated viewer on the Security page.
See Chapter 3, “Setting Up XML Publisher,” Setting Up Report Categories, page 10; Chapter 4, “Using XML
Publisher,” Creating Report Definitions, page 13; Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft
Process Scheduler, “Submitting and Scheduling Process Requests,” Scheduling Process Requests; Enterprise
PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler, “Setting Up PeopleSoft Process Scheduler
Security” and Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Query, “PeopleSoft Query Security”.
The system-temp-dir setting of CACHE is relative to the application server or process scheduler domain
directory. For example, for application server domain P8488041 located at [PS_HOME]/appserv/P8488041,
the system-temp-dir setting for the domain would be [PS_HOME]/appserv/P8488041/CACHE.
You can also specify an application server or process scheduler domain-specific xdo.cfg file. To do this, you
need to change the application server or process scheduler configuration file to update the JavaVM Options
-Dxdo.ConfigFile setting. For example, to specify a separate xdo.cfg file for application server domain
P8488041, change the [PS_HOME]/appserv/P8488041/psappsrv.cfgfile as indicated below and put the new
xdo.cfg into the [PS_HOME]/appserv/P8488041directory.
Original line in psappsrv.cfg:
JavaVM Options=-Xrs -Dxdo.ConfigFile=../xdo.cfg
Note. The -Dxdo.ConfigFile setting is relative to the application server or process scheduler domain
directory, which is the current directory when the domain starts up.
If you change the content of xdo.cfg, you don’t need to restart the application server or the process scheduler
domain that uses it. It refreshes automatically the next time you runs it. But if you change the application
server or process scheduler configuration file, you need to restart the affected domain.
Additional properties can be set to further customize XML Publisher, however, the configuration file cannot
control all of the existing properties. For example, some PDF security properties including pdf-security,
pdf-encryption-level, and pdf-no-changing-the-document are controlled by XML
Publisher at runtime.
See Oracle XML Publisher Core Components Guide, Setting Runtime Properties.
Report Category ID Enter a report category ID to define a grouping that enables users to control
who can access and edit report definitions and Content Library sub-templates.
Description (Optional) Enter descriptive text that provides more detail about the report
category.
Object Owner ID Indicate which product, feature, or application owns this report category.
ID Type Select an ID type of either Role or User ID to grant authorization to.
Security ID Select the authorized editor’s security ID based on the ID type.
Description A read only field that indicates the related display value for the security ID.
Read Only (Optional) Select this check box to indicate that the designated ID be able to
view the report definitions only under this category and not update them.
Note. The PeopleCode XML Publisher classes also respect report category settings and read-only access rights.
This page enables users to download a plug-in for Microsoft Word to facilitate offline RTF template design.
Select the link to download the tool.
Note. Not all template types have plug-ins for offline template design.
A PDF visual mapping feature is enabled when the PDF template file is uploaded into the Report Definition,
Template page.
XML Publisher power users can start to define a report in order to download the sample data and schema
design files to create their templates.
Defining Reports
Access the Definition page.
Note. For XML Publisher power users, the data source type is PSQuery only
and the drop-down list box is disabled.
See Chapter 4, “Using XML Publisher,” Registering Data Sources, page 26.
Data Source ID Select the data source ID.
You can choose from data source IDs that are based on previously registered
data sources. Queries can be selected whether or not they have been previously
registered as data sources. For queries, the lookup table respects the public,
private, and query access group security for the current user ID.
Upon saving a report definition with an unregistered query data source, the
query is systematically registered as a data source. The query has no object
owner ID, but that value can be updated manually on the Data Source page, if
required.
Data Source Description This is a read-only field that reflects the value that was entered when the
data source was registered.
For unregistered query data sources, this field reflects the query description.
Report Description (Optional) Enter descriptive text that provides more detail about the report.
If left blank, the report name appears by default.
Report Status Select Active, In Progress, or Inactive.
Setting the report status allows work in progress as well as retirement of report
definitions. Active reports must have at least one active template. Only active
reports can be selected at runtime and run to success.
Report Category ID Select a report category ID.
This is a grouping mechanism for reports that provides row level security
for editing report definitions per the rights defined on the report category
setup table.
See Chapter 3, “Setting Up XML Publisher,” Setting Up Report Categories,
page 10.
Object Owner ID (Optional) Indicate which product, feature, or application owns this report.
Note. The default value that appears here is based on the Object Owner ID set
in the Report Category component.
Updated By This is a read-only field maintained by the system that indicates the user ID of
the operator who last updated the report definition.
Download Click Data Schema to detach the schema file or Sample Data to detach the
data file.
Detaching the files enables the user the ability to view the data elements prior
to finalizing the report definition.
These links appear if the related files exist on the registered data source. For
query data sources, both links always appear whether the data source is
registered or not, because these files are system generated.
See Chapter 4, “Using XML Publisher,” Registering Data Sources, page 26.
Associating Templates
Access the Template page.
The Template group box of the Template page refers to a particular template layout, because one report
definition can associate multiple template layouts differentiated by Language Code or Channel.
Effective Date Select an effective date for the template file in order to maintain new versions
or versions specific to a particular time period. For example, a new file could
be uploaded to reflect a new format, effective for reports as of the new date.
The default date for a newly added template file is the current system date.
The user can change the data per standard effective dating logic with Update,
Update/Display, and Correction modes.
See Enterprise PeopleTools 8.48 PeopleBook: Using PeopleSoft Applications,
“Working With Pages,” Using Effective Dates.
Status Select a status of In Progress, Active, or Inactive for the template file.
This field indicates the usability of the template file. Runtime template file
selection logic uses this field in conjunction with the Effective Date field to
determine which template file should be used at runtime. At least one file must
be active to save a report definition.
Template File A read-only field indicating the name of the template file.
Upload Click this button to attach a template file to the template.
The file extension is checked against the template type value on the Definition
page and a warning is issued if there isn’t a match.
Once the report definition is saved, this button becomes disabled. To reupload
a new version of the template, you must delete and re-add it.
Download Click this button to download the template file to your local computer for
updating the field or tag assignments.
Preview Click this button to preview the report using the current template file based
upon the sample data file that was registered with the data source.
The preview button is not enabled when there is no sample data file registered
with the data source.
See Appendix B, “Creating Report Templates,” Mapping Data Tags, page 54.
Map File A read-only field indicating the name of the mapped PDF file.
This field populates once the mapped PDF file has been uploaded.
Generate Click this button to generate the PDF map file.
Schema and sample data are placed into the PDF template file uploaded
above to enable you to access the data tags for performing visual mapping
offline within the Adobe application.
Note. PDF file security has to allow altering and saving for the mapping to be
completed. This depends on the version of Adobe with which you are working.
Upload Click this button to upload the PDF map file once the tags have been mapped.
Download Click this button to download the PDF map file to your local computer for
updating the field or tag assignments.
See Appendix B, “Creating Report Templates,” Mapping Data Tags, page 54.
PDF report output may Select this check box to indicate whether the internal Adobe flag of a PDF
be edited report output file has the setting turned on to allow editing.
Format Type A read-only field that dynamically lists the available output formats based on
the template type.
Enabled Select specific values here to limit the output choices for the user at runtime.
Default Select a default format type.
This value is displayed at runtime on the prompt or run control page. It is also
the output format that the system uses if no other value is fed into the XML
Publisher engine.
Location Select one of the following locations:
• Any indicates that the user can select the output location at runtime.
• File indicates that the output goes to a file server in a Process Scheduler
server directory location.
Enter the file path for the output in the Destination field. This field is
available only when the output location that you select is File.
• Printer indicates that the output goes directly to a printer.
Specify the printer destination for the output in the Printer field. This field is
available only when the output location that you select is Printer.
Printer is a valid selection only when PDF output format is enabled.
• Web indicates that the output goes to a web report repository accessible
by the Report Manager.
Select the folder for the output from the Report Manager Folder Name
lookup. This field is available only when the output location that you
select is Web.
This is the default location used at runtime if no location is selected.
Note. The XML Publisher report definition output options are reflected in the output type and output format
prompts on the Process Scheduler Request page only when the application process that runs the report is
assigned the process type of XML Publisher.
PDF .pdf
E-Text .txt
Allow viewer ID Select this check box to indicate whether the report requestor can add to the
assignment at report standard Distribute To values on the Process Scheduler Request, Distribution
runtime Detail page.
ID Type Select an ID type of either Role or User ID.
Distribution ID Select a corresponding distribution ID based on the ID type.
Description A read-only field that displays the related description of the distribution ID.
Note. In order for a schema field to take advantage of the bursting features, it must be registered with the data
source of the report definition.
Bursting page (1 of 2)
Bursting page (2 of 2)
Template controlled by Select the schema tag value from first child level to indicate the field with
the template translation preference.
Data Value Enter a row for each data value that requires a specific template or template
translation.
Template ID Select the template ID to be applied when the data value specified above
is found in the XML data.
These drop-down list box values are dynamically determined by those already
defined on the report.
Language (Optional) Select a language code for the desired translation of the template
when the specified data value is found in the XML data.
The language choices in the drop-down list box reflect the complete list of
available languages and are not limited by the existing registered Translation
XLIFF files.
See Chapter 4, “Using XML Publisher,” Maintaining Template Translations,
page 31.
At least one type of security should be completed either on the Security page or on the Bursting page. Set
security in both places to secure bursted files differently from securing the report definition. If security on the
Bursting page is blank, then the security set on the Report Definition Security page applies. If the Security
page is also blank, then the report requestor gets put in as the viewer by default and all the bursted report files
are accessible only by the report requestor. Security can be assigned from all three places, if desired.
Security Join Table Select the record name for the table that stores either a user ID or a permission
list assigned to a data value found in the XML data.
This prompt list is filtered for records that include security data.
Security Field Select the field from the Security Join Table that stores the user ID or
permission list to secure on.
Security ID Type Select either User ID or Permission List to indicate what type value is in
the Security Field.
Security Join Table Field Select the field from the Security Join Table that joins with the schema data
tag to identify the proper row from which to find the Security Field’s value
that’s used to secure the bursted file.
Data Source Field Select the schema tag that stores the values that determines the security
assignment.
This may require more than one tag, as they must be first child level tags. For
example, they could be employee, customer, department ID, or set ID/vendor
ID combination, and so on.
Search Field Select an additional field to search on from within the XML Publisher Report
Search page.
The drop-down list box values are taken from the children from the highest
repeating level (group node) in the XML schema. Make sure these values
are unique per burst value
At design time, you can select as many search fields as are required. However,
at search time, the XML Publisher Report search page allows only two search
criteria in addition to the Burst by value.
An API is provided to facilitate finding bursted XML Publisher reports in the
Report Manager repository. When reports are burst into multiple separate
files and posted in the Report Manager, the configurable search keys with
their values are available as search keys in addition to Report Name, Burst
By, Date, and Process Instance ID.
Note. When creating a report definition, you can select a PeopleSoft Query data source that has not yet been
registered and that data source is registered automatically once the report definition is saved. However, all
other types of data sources must be registered before they can be associated with a report definition.
Note. You can check the format of an XML output file by opening it using Microsoft Internet Explorer (IE). IE
opens the file and alerts you to any problems, such as unclosed tags.
Data Source Type Select PSQuery, Rowset, XML Doc, or XML File.
Data Source ID Select or enter the data source ID.
When adding a new data source, for PSQuery data source types, the
corresponding data source ID listing is pulled from Query Manager.
For other data source types, this field accepts free-form text entry. Enter an
ID that indicates what the data is, because you want to easily identify your
data sources when defining reports.
Description (Optional) Enter descriptive text that provides more detail about the data
source.
The description automatically defaults to the data source ID.
Object Owner ID (Optional) Indicate which product, feature, or application owns this data
source.
This field is used to extract and package production data source and report
registrations and their supporting files.
Registered Date/Time This is a read-only field maintained by the system that indicates the date that
the initial data source registration was made.
Last Update Date/Time This is a read-only field maintained by the system that indicates the date that
the last update to the data source was made.
Active Select to indicate that this is an active data source.
Only active data sources can be chosen when creating a new report definition.
Only reports with active data sources can be processed.
Registered By This is a read-only field maintained by the system that indicates the user ID of
the operator who initially registered the data source.
Updated By This is a read-only field maintained by the system that indicates the user ID
of the operator who last updated the data source.
Related Files
These optional files facilitate the assignment of application data elements into the template file.
The sample data file is an XML file with sample data that is used for the preview action from within a desktop
template designer or from within the report definition page. This file can be system-generated when PeopleSoft
Query is the data source by clicking the Generate link; however, it must be constructed by the application
developer and uploaded for non-query data sources.
The schema file is an XSD file that defines the structure and elements that is in the extracted XML data. The
schema is required to map elements to a PDF form template and to insert form field tags into RTF templates
using Microsoft Word. It is also required for bursting functionality. This file can also be system-generated when
PeopleSoft Query is the data source by clicking the Generate link; non-query data sources must upload the file.
This table lists the role of each related file with regard to each of the template types:
Related File RTF Template PDF Template eText Template XSL Template
File (Optional) Click the file name links to view the XML and XSD files once you
have generated, regenerated, or uploaded them.
Last Update Date/Time (Optional) This is a read-only field maintained by the system that indicates the
date that the last update to the related file was made.
Generate/Regenerate (Optional) Click the Generate link for PeopleSoft Query data sources to
generate the related sample data and schema files.
Once the related files have been initially generated for query data sources,
click the Regenerate link to regenerate them in the event the underlying
query has changed.
Upload (Optional) Click the Upload link for non-query data sources to bring the
related sample data and schema files into the database.
Note. A validation is run against the schema XSD file uploaded to a data
source, alerting the developer if there are problems utilizing their schema.
Understanding Sub-templates
You may have text, images, or logic in your templates that you want to reuse across many report templates.
Examples include company headquarter address information or standard legal language. Rather than replicate
this text and/or code in every template, you have the ability to store sub-template files that include the reusable
content. These sub-template files are referenced with standard XSL commands in the primary template file.
Sub-template functionality is available for use only with primary RTF and XSL templates.
Sub-templates are secondary RTF or XSL templates that are imported by primary RTF or XSL report
templates. The primary template accesses the sub-template through the XSL import style sheet feature. Any
XSL style sheets or other RTF or XSL templates can be imported by following standard XSL import and call
functions. PeopleTools simplified sub-template syntax is also supported.
Primary templates calling nonexistent or inactive sub-templates present an error indicating the reason for the
problem. This error information is incorporated into Process Scheduler error handling as well as into online
viewing or previewing of the report.
The sub-template files are independently stored and are not registered in association with a data source or
primary template. This being the case, if any form fields exist inside the sub-template, the report in which
the sub-template is placed must have a related data source that supplies those fields or the data must be
passed in as runtime parameters.
The Content Library is a component provided for the registration of reusable sub-template files. The metadata
is similar to that of primary template files and includes sub-template ID/Name, sub-template description,
language, object owner ID, report category, effective date, and status. As with Report Definition security,
sub-template editor registration security is applied through Report Categories. Because Report Category
secures the data in the component, select users can be assigned Read Only access for a Report Category.
These users are able to browse, view, and download sub-template files but not add them. This facilitates the
offline design of primary templates for users who can access the library of existing sub-templates but who
can’t alter them.
Sub-template names are not exposed to the end user at either report design time or runtime. The complete
template (primary and sub-templates) is systematically assembled by the XML Publisher engine during report
generation. The same occurs during online previewing as long as the sub-template file exists.
Previewing reports online is the only way to see the complete report output, since the offline Microsoft
Word preview functionality doesn’t incorporate sub-templates. As such, sub-templates might be best used to
incorporate complex processing and not to construct a template from multiple content-based sub-templates.
The latter approach makes it much harder for you to see what you’re doing when iteratively designing and
testing a report, since you can’t see your entire template’s content design as one unit.
There is no method for viewing which report templates include which sub-templates. This means that users
must be careful about changing, deleting, or inactivating sub-templates.
See Chapter 4, “Using XML Publisher,” Using the Content Library to Maintain Sub-templates, page 28.
Maintaining Sub-templates
Access the Content Library page.
The Translated check box appears only when you have selected a value in the Target Language field. This
check box, when selected, enables you to search for templates that have already been translated into the
selected target language. If cleared, you are searching for templates that have not yet been translated
into the target language.
3. Once your search results appear, select the effective date of the template for which you want to maintain
translations.
Template ID/Sub-Template A read only field indicating the unique template ID or sub-template ID.
ID
Effective Date A read only field that indicates the effective date as registered for the template
under the Report Definition component or for the sub-template under the
Content Library component.
Note. The translation inherits the same date and cannot be changed.
Report Properties
When the file to be translated is a report template, basic metadata about the report is displayed. This
information is not displayed when the file selected is a Content Library sub-template.
Data Source Type A read-only field that indicates the report’s corresponding data source type of
PSQuery, Rowset, XML Doc, or XML File.
Data Source ID A read-only field that indicates the report’s data source ID.
Report Name A read-only field that indicates the report’s name.
Description A read-only field that indicates the report’s description.
Translatable Files
The generated translatable XLIFF file includes the template’s static headings and body text that require
translation into another language. At the top of the file, the <source-language> tag indicates the base
language value. The <target-language> tag must be updated to the language you are translating into.
Initially the <source-language> and <target-language> values are the same. Prior to uploading
the translated file into the database, the <target-language> tag must be edited to the translated language
code. The value must a be the two character ISO language code.
For example, fr equals French, jp equals Japanese, and so on. The file won’t load if the file type isn’t .xlf or
if the <source-language> equals the <target-language>, and an error message is presented.
In the <body> section of the file, each <trans-unit id> tag contains both a <source> tag and a
<target> tag. The <source> tag contains the text in the base language. The corresponding <target>
tag contains the translate fixed text.
There is no naming restriction on XLIFF files, however, it is advised to keep them close to the template file
name and include the language. For example, for a French translation of the XRFWIN template, you could
use XRFWIN_FR.xlf.
Below is an example of a translated XLIFF file:
<?xml version="1.0" encoding="utf-8" ?>
- <xliff version="1.0">
- <file source-language="en-US" target-language="fr-FR" datatype="XDO"
original="orphen.rtf" product-version="orphen.xlf" product name="">
<header />
- <body>
- <trans-unit id="4d3eb24" maxbytes="4000" maxwidth="15"
size-unit="char" translate="yes">
<source>Total</source>
<target>Totale</target>
<note>Text located: body/table</note>
</trans-unit>
- <trans-unit id="a2bad3c3" maxbytes="4000" maxwidth="22"
size-unit="char" translate="yes">
<source>Seq Name/</source>
<target>Nom de Seq/</target>
<note>Text located: body/table/table header</note>
</trans-unit>
Translation Files
The Translation Files grid is where you maintain the translated XLIFF files for your templates.
Active Once uploaded, the translated template must be Active to make that language
translation available at runtime.
The file is Active by default.
XLIFF File Click the name of the uploaded translation file to open or save the file.
This action opens a new window that displays the file per the user’s browser
and OS settings and allows for updating and reloading the file.
Language A read-only field that indicates the language the file was translated to.
During the upload of the translated file, the system determines the language
from the <target-language> tag and automatically updates the template
translation metadata.
Preview Select this link to display a translated version of the report in a new window.
This link is active only if the report’s data source has a sample data file. No
link is available for sub-templates, as there is no report context to preview.
Upload Select this link to browse and upload the translation file.
Query Report Scheduler PSXPQRYRUNCNTRL Reporting Tools, XML Select a run control ID and
Publisher, Query Report submit a process request
Scheduler to schedule query-based
reports.
XMLP Report Search PSXPRPTMGR Reporting Tools, XML Search the XML Publisher
Publisher, XMLP Report Report Repository.
Search
Show Template Prompts Click this link to expand the Report Definition Search Results grid to include
the template ID and as of date template prompts.
Report Name A read only field that indicates the name of the report.
Description A read-only field that indicates the report’s description.
Data Source ID A read-only field that indicates the report’s data source ID.
Template ID Select from the templates associated with the report definition.
As Of Date Select the as of date for the template version you want to view.
Format Select from the output format choices associated with the report definition.
Burst A read-only field that indicates whether the report definition includes bursting
instructions.
Bursted reports are listed, but they aren’t executable from the Query Report
Viewer component.
Note. Bursted reports must be run from the Query Report Scheduler
component.
View Report Click this link to view the report online. When they exist, the Query’s runtime
parameters are presented.
A new window opens displaying the report results according to the runtime
inputs. You can save the report results locally by using the browser’s Save
functionality.
Note. The data and template translation language choice automatically defaults to the user’s session language.
Note. If a query is run through Reporting Tools, Query, Schedule Query, the XML Publisher-related prompts
do not appear. Only the basic table-formatted query results are generated.
Template As Of Date (Optional) Select the as of date for the template version to use for the report.
The system looks at the report definition for templates that are active as of
this date.
Channel A read-only field that indicates the distribution channel of the template.
Update Parameters Click this link to update the Query’s runtime prompt values.
The first time a report is selected to be assigned to the run control ID, all
existing Query prompts and prompt values also appear.
Report Manager Click this link to go to the Report Manager to check the progress of your
process request and to view the report content immediately after the output
file is posted.
The final output file is posted to the Report Manager repository for web
access by authorized users.
See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler,
“Using Report Manager”.
Process Monitor Click this link to go to the Process Monitor to check the progress of your
request.
See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler,
“Using Process Monitor”.
Run Click this button to access the Process Scheduler Request page.
The Process Scheduler Request page enables you to specify variables, such as
where a process runs and in what format the process output is generated.
The values for output type and output format appear by default per the report
definition and can be changed if the report definition allows it. Distribution
options are also active allowing updates to viewers, again only as allowed in
the report definition.
Go to XMLP Report Search Click this link to access the XMLP Report Search page.
See Chapter 4, “Using XML Publisher,” Searching the XML Publisher Report
Repository, page 39.
See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler, “Submitting and Scheduling
Process Requests”.
Enter criteria to filter the reports to list. XML Publisher Report Search ignores criteria for fields that are blank.
Report Definition ID (Optional) Select the name of the report definition to search on.
Folder Name (Optional) Select a specific folder to list only the reports that are contained
in that folder.
Created On (Optional) Use the calendar, or enter a specific date to list only reports that are
created on that date.
Instance and to (Optional) Enter a range of process instances. Leave the to field blank to list
all instances after the number that you enter in the Instance field.
Last (Optional) Use to display only those reports that were created in the last
number of days, hours, or minutes. For example, to list only those reports that
were created within the last two hours, enter 2 and select Hours.
Report Manager Click this link to go to the Report Manager.
See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler,
“Using Report Manager”.
Process Monitor Click this link to go to the Process Monitor.
See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler,
“Using Process Monitor”.
See Enterprise PeopleTools 8.48 PeopleBook: PeopleSoft Process Scheduler, “Using Report Manager,”
Viewing Reports.
Managing Objects
To facilitate the movement of reports and templates from development to test and then to production, XML
Publisher objects are available as managed objects that can be placed into projects for migration from database
to database.
To facilitate the location of report-related objects, these items can be identified based on object owner ID:
• Data sources.
• Report definitions.
• Templates.
Note. Since XML Publisher is based on managed objects, it is important to understand that direct SQL
updates to your data are not recommended because of the complexity of the various report objects and their
relationships. Instead, update your data using the PeopleSoft XML Publisher Pure Internet Architecture pages
and PeopleSoft Application Designer.
Note. Because XML Publisher uses managed object functionality, you do not have the ability to use the
switching feature of multi-language data entry. You can populate related language tables by logging in and
establishing a different session language. The related language table for that session can then be populated.
See Enterprise PeopleTools 8.48 PeopleBook: Global Technology, “Working With PeopleSoft Applications in
Multiple Languages” and Enterprise PeopleTools 8.48 PeopleBook: Internet Technology, “Understanding
PeopleSoft Pure Internet Architecture”.
• Pass parameters.
• Burst reports.
Choosing a Template
Since report definition information is available using the PeopleCode XML Publisher classes, you can
incorporate prompts on runtime pages to select reports and templates. You must pass in XML data and a choice
of report template to the XML Publisher core engine to generate the output in a desired format.
You can retrieve a particular template file or expose a choice of templates at runtime. Only active reports and
templates are retrieved. An As of Date is also required to coordinate with the template file’s effective date. If
not supplied, the As of Date is assumed to be the system date. At runtime, the template As of Date is used to
select the appropriate active effective-dated template and sub-template that is current as of that date.
A PeopleCode class is available to retrieve a report’s template IDs based on a channel value, although it is not
exposed on a PeopleSoft PeopleTools-delivered Pure Internet Architecture page. You can also incorporate
template administration functionality directly into your application pages. This functionality includes creating
the definitions and storing the related files, as well as querying to find the templates associated with a report
definition.
Your run control page should be a combination of the PeopleSoft PeopleTools-supplied run control subpage
and the application-specific section for runtime parameters for the data extraction program. It should include
report, template name, language, and as of date. Depending upon your application design, these values
could be systematically deduced from user preferences, come from program defaults, or come from operator
input selection.
Passing Parameters
It may be necessary to pass runtime parameters into the XML Publisher core engine. Numbers and text
are sent as strings with single quotes.
The RepoftDefn class ProcessReport method always passes the following parameters. These tag names can be
included in report templates and sub-templates. When needed, the following instructions must be entered
under form fields at the top of the report’s primary template; one for each value:
• <xsl:param name="ReportID" xdofo:ctx="begin"/>
• <xsl:param name="ReportTitle" xdofo:ctx="begin"/>
• <xsl:param name="RunDate" xdofo:ctx="begin"/>
• <xsl:param name="RunTime" xdofo:ctx="begin"/>
These tags can be included in the template layout wherever they are needed. These parameters are especially
useful for report headers.
The PeopleSoft-delivered XML Publisher report XRFWIN demonstrates the usage of these values in a report
calling a sub-template for a header.
For the standard parameter passage of Report ID and Report Description, the translation of report descriptions
may become important for report headers. XML Publisher includes PeopleSoft Related Language tables
for the data source, and report and template tables that support the report’s data language values for the
description fields.
Bursting Reports
The ReportDefn class ProcessReport method has code built in to process a single report request to create
multiple output files per the bursting instructions defined on the report definition. Bursting always occurs at
runtime if a burst value is stored in the report definition’s burst field value.
See Chapter 4, “Using XML Publisher,” Setting Bursting Options, page 22.
Running Reports
This section discusses how to:
• Use the Process Scheduler Request page.
• Customize printed report output.
• Distribute reports.
• Search for reports.
• Monitor requests.
If you want to insert conversion logic from PDF to a different printer format before an output file is sent to a
printer, create a batch file named psxpprint.bat on Microsoft Windows or psxpprint.sh on Unix
under Process Scheduler server’s home directory %PS_HOME%\appserv\prcs\%domain_name% and write a
call to an external conversion program in this batch file.
The following is a sample from a psxpprint.bat batch file on Microsoft Windows that uses a program called
pdftops to convert a PDF file generated by XML Publisher to a Postscript level 2 file:
@echo PRINT JOB LOG > %RPTOUTDIR%\prtjob.log
c:\\user\\bat\\pdftops -level2 %REPORTFILE% %RPTOUTDIR%\out.ps >> %RPTOUTDIR%⇒
\prtjob.log
copy %RPTOUTDIR%\out.ps %DESTPRINTER% >> %RPTOUTDIR%\prtjob.log
In the batch file, you can use the following variables, which the ReportDefn.PrintOutput() method
replaces with actual data correct at the runtime of the report:
Variable Description
See Chapter 4, “Using XML Publisher,” Setting Output Options, page 19.
Distributing Reports
PeopleCode options are available for posting your generated report to a file server, printing it, or publishing it
to the Report Manager with appropriate security.
For online viewing, a method is available for passing the output back to the browser. No report results are
persisted, but the user viewing the results can use the browser’s Save As feature to retain the report file locally.
When the output type is Printer, the output format is limited to PDF. A printer location must be specified,
and the printer must be capable of printing PDF output. If the output file is large, adequate memory must be
available on the print server.
Distribute To IDs are those defined in the Report Definition, Security page. Distribution functionality within
the Process Scheduler is enhanced to assign values systematically per the XML Publisher report definition.
The Report Definition, Security page provides choices for selecting a Report Manager folder as well as the
ability to assign viewing rights to additional roles or user IDs at runtime if so allowed by the report definition.
When the report definition has the Allow viewer ID assignment at report runtimecheck box selected, the
report requestor can add or delete IDs. If no viewers are assigned, by default the requestor’s ID is added
systematically.
Monitoring Requests
The Process Scheduler processes XML Publisher-based reports. Multiple related activities can be defined
as separate processes. For example, generation of the XML data , the XML Publisher merging of that data
with the template and creating the final output, and the subsequent post-processing to send related emails.
Each process appears separately in the Process Monitor. Error messages indicate whether the problem is on
the data extraction or the XML Publisher portion of the report request.
Template design involves the construction of a report’s layout in a template file and is dependent upon what the core
Oracle XML Publisher engines accept for processing.
This chapter discusses:
• RTF templates.
• PDF templates.
• eText templates.
• XSL templates.
See Also
Oracle XML Publisher Core Components Guide.
Enterprise PeopleTools 8.48 PeopleBook: PeopleCode API Reference, “XML Publisher Classes”
RTF Templates
RTF templates support most XSL functionality and can be designed with robust processing and formatting
code.
This section discusses how to:
• Create RTF templates.
• Incorporate sub-templates.
• Include images.
Note. You can choose to automatically view the Word Template Builder Tutorial File, Word Template
Builder Tutorial.doc, upon installing the plug-in. This document offers a quick and informative tutorial of
the Template Builder.
The Word Template Builder Tutorial.doc is located in the \\Word Template Builder\doc directory of the
folder where Oracle XML Publisher Desktop, the XML Publisher Template Builder plug-in, was installed.
2. Download the XML schema and sample data files by clicking the Data Schema and Sample Data links on
the Reporting Tools, XML Publisher, Report Definition page for a specified query.
3. Load the schema and sample data into the document by selecting Data, Load Schema or Load XML Data
from within the Microsoft Word Template Builder tool bar menu.
4. Design your template in the RTF document.
By using the downloaded schema or XML sample data, you can insert the data field tags into your template
rather than manually typing XSL-formatted tags.
You can preview the template output with the sample XML data by selecting either Adobe Acrobat
Reader (PDF), Microsoft Word file (RTF), Microsoft EXCEL (EXCEL), or a browser (HTML) from the
Microsoft Word Preview menu.
5. Upload the completed template into the report definition by clicking the Upload button on the Reporting
Tools, XML Publisher, Report Definition, Template page.
See Oracle XML Publisher Core Components Guide, Creating an RTF Template.
See “\\Word Template Builder\doc\Word Template Builder Tutorial.doc.”
See Chapter 3, “Setting Up XML Publisher,” Working with Template Design Helpers, page 11 and Chapter 4,
“Using XML Publisher,” Creating Report Definitions, page 13.
Incorporating Sub-templates
When designing a template, you can incorporate one or more sub-templates into your primary template.
Specific syntax must be used to:
• Create sub-templates.
• Import sub-templates.
• Call sub-templates.
See Chapter 4, “Using XML Publisher,” Using the Content Library to Maintain Sub-templates, page 28.
Creating Sub-templates
Within a single sub-template file, multiple sub-template components can be available. Start and end template
indicators must exist to distinguish those various components.
<?template:component_name?>
<?end template?>
For example, syntax of a sub-template file containing two components could be:
<?template:peoplesoft?>
Pleasanton Campus
500 Oracle Lane
Pleasanton, CA 94488
<?end template?>
<?template:logo2x.5?>
Oracle_Logo
<?end template?>
where <?template:peoplesoft?> is the start template indicator of the component peoplesoft and
<?template:logo2x.5?> is the start template indicator of the component logo2x.5. Each <?end
template?> tag indicates the end of its respective component.
Importing Sub-templates
To import a sub-template file that is stored in the Content Library, the following syntax must be placed
at the top of the primary template file:
<?import:psxmlp://sub-template_NAME?>
where sub-template_NAME is the registered sub-template ID in the Content Library. This syntax must be
in Normal text.
Calling Sub-templates
The following syntax must be placed in the primary template file in the location where the desired text or XSL
instructions from the sub-template file should appear:
<?call-template:peoplesoft?>
where peoplesoft is the name of the component that you want to use in the sub-template file.
Note. Primary templates calling nonexistent or inactive sub-templates presents an error indicating the reason
for the problem. This error information is incorporated into Process Scheduler error handling as well as into
online viewing or previewing of the report.
See Chapter 4, “Using XML Publisher,” Running XML Publisher Reports, page 36.
Including Images
XML Publisher supports a number of methods for including images in your reports:
• Inserting images.
• Referencing images.
• Importing images.
Inserting Images
To directly insert a .jpg, .gif, or .png image file into a template:
1. Select Insert->Picture->From File while the template is open in Microsoft Word.
2. Select the desired .jpg, .gif, or .png file to insert into the template.
3. Save the template.
Note. It is advised to use the Microsoft Word Insert menu option to insert the image, as the additional
properties that need to be set for the RTF template to correctly generate reports with those images are
automatically set by using this method. Additionally, dragging and dropping an image onto a template creates
a link to the local machine being used and may cause problems when the report is generated.
Referencing Images
To reference images with a URL:
1. Insert a dummy image into the template in the appropriate location.
2. In the Format Picture dialog box in Microsoft Word, select the Web tab.
Enter the following syntax in the Alternative Text region to reference the URL image:
url:{‘http://image location’}.
For example: url:{‘http://www.oracle.com/images/ora_logo.gif’}.
Note. The user has to be online to access the image referenced in the URL.
Importing Images
To import an image from a sub-template file:
1. Embed the .jpg, .gif or .png into the sub-template file.
For example,
<?template:logo2x.5?>
Oracle_Logo
<?end template?>
where logo2x.5 is the name of the component that contains the image in the sub-template file.
See Appendix B, “Creating Report Templates,” Incorporating Sub-templates, page 50.
PDF Templates
This section discusses:
Be sure that the PDF template field names match the XML data tags.
2. Upload the completed template into the Report Definition by clicking the Upload button on the Reporting
Tools, XML Publisher, Report Definition, Template page.
Note. XML Publisher supports Adobe Acrobat 5.0 (PDF specification version 1.4). If you are using a later
version of Adobe Acrobat, use the File, Reduce File Size option to save your file as Adobe Acrobat 5.0
compatible.
See Oracle XML Publisher Core Components Guide, Creating a PDF Template.
Note. When the PDF template’s field names already the same as the data source’s data tag names, then
no mapping or uploading of a map file is required.
Note. PDF file security has to allow editing and saving for the mapping to be completed. The ability to
perform these functions depends on the Adobe version you are working with.
Note. If no map file exists for your PDF file, selecting the Preview button on the Reporting Tools, XML
Publisher, Report Definition, Template page won’t show any data.
eText Templates
eText templates are RTF-based templates that are used to generate flat file text output that can be transmitted
to a bank or other customer for Electronic Funds Transfer (ETF) or Electronic Data Interchange (EDI).
Because the output is intended for electronic communication, these templates must follow specific format
instructions for data placement.
See Oracle XML Publisher Core Components Guide, eText Templates.
XSL Templates
For more complex design requirements, a number of XSL and XSL-FO elements are supported for use
with your XSL templates.
See Oracle XML Publisher Core Components Guide, XSL, SQL, and XSL-FO Support.
absence entitlement This element defines rules for granting paid time off for valid absences, such as sick
time, vacation, and maternity leave. An absence entitlement element defines the
entitlement amount, frequency, and entitlement period.
absence take This element defines the conditions that must be met before a payee is entitled
to take paid time off.
academic career In PeopleSoft Enterprise Campus Solutions, all course work that a student undertakes
at an academic institution and that is grouped in a single student record. For example,
a university that has an undergraduate school, a graduate school, and various
professional schools might define several academic careers—an undergraduate career,
a graduate career, and separate careers for each professional school (law school,
medical school, dental school, and so on).
academic institution In PeopleSoft Enterprise Campus Solutions, an entity (such as a university or college)
that is independent of other similar entities and that has its own set of rules and
business processes.
academic organization In PeopleSoft Enterprise Campus Solutions, an entity that is part of the administrative
structure within an academic institution. At the lowest level, an academic organization
might be an academic department. At the highest level, an academic organization can
represent a division.
academic plan In PeopleSoft Enterprise Campus Solutions, an area of study—such as a major, minor,
or specialization—that exists within an academic program or academic career.
academic program In PeopleSoft Enterprise Campus Solutions, the entity to which a student applies and is
admitted and from which the student graduates.
accounting class In PeopleSoft Enterprise Performance Management, the accounting class defines how
a resource is treated for generally accepted accounting practices. The Inventory
class indicates whether a resource becomes part of a balance sheet account, such as
inventory or fixed assets, while the Non-inventory class indicates that the resource is
treated as an expense of the period during which it occurs.
accounting date The accounting date indicates when a transaction is recognized, as opposed to the date
the transaction actually occurred. The accounting date and transaction date can be the
same. The accounting date determines the period in the general ledger to which the
transaction is to be posted. You can only select an accounting date that falls within an
open period in the ledger to which you are posting. The accounting date for an item
is normally the invoice date.
accounting split The accounting split method indicates how expenses are allocated or divided among
one or more sets of accounting ChartFields.
accumulator You use an accumulator to store cumulative values of defined items as they are
processed. You can accumulate a single value over time or multiple values over
time. For example, an accumulator could consist of all voluntary deductions, or all
company deductions, enabling you to accumulate amounts. It allows total flexibility
for time periods and values accumulated.
action reason The reason an employee’s job or employment information is updated. The action
reason is entered in two parts: a personnel action, such as a promotion, termination, or
change from one pay group to another—and a reason for that action. Action reasons
are used by PeopleSoft Enterprise Human Resources, PeopleSoft Enterprise Benefits
for satisfying a requirement but that are rejected. It also contains information on
courses captured by global limits. An analysis database is used in PeopleSoft
Enterprise Academic Advisement.
Application Messaging PeopleSoft Application Messaging enables applications within the PeopleSoft
Enterprise product family to communicate synchronously or asynchronously with
other PeopleSoft Enterprise and third-party applications. An application message
defines the records and fields to be published or subscribed to.
AR specialist Abbreviation for receivables specialist. In PeopleSoft Enterprise Receivables, an
individual in who tracks and resolves deductions and disputed items.
arbitration plan In PeopleSoft Enterprise Pricer, defines how price rules are to be applied to the base
price when the transaction is priced.
assessment rule In PeopleSoft Enterprise Receivables, a user-defined rule that the system uses to
evaluate the condition of a customer’s account or of individual items to determine
whether to generate a follow-up action.
asset class An asset group used for reporting purposes. It can be used in conjunction with the asset
category to refine asset classification.
attribute/value pair In PeopleSoft Enterprise Directory Interface, relates the data that makes up an entry in
the directory information tree.
audience In PeopleSoft Enterprise Campus Solutions, a segment of the database that relates
to an initiative, or a membership organization that is based on constituent attributes
rather than a dues-paying structure. Examples of audiences include the Class of ’65
and Undergraduate Arts & Sciences.
authentication server A server that is set up to verify users of the system.
base time period In PeopleSoft Enterprise Business Planning, the lowest level time period in a calendar.
benchmark job In PeopleSoft Enterprise Workforce Analytics Solution, a benchmark job is a job
code for which there is corresponding salary survey data from published, third-party
sources.
billing career In PeopleSoft Enterprise Campus Solutions, the one career under which other careers
are grouped for billing purposes if a student is active simultaneously in multiple
careers.
bio bit or bio brief In PeopleSoft Enterprise Campus Solutions, a report that summarizes information
stored in the system about a particular constituent. You can generate standard or
specialized reports.
book In PeopleSoft Enterprise Asset Management, used for storing financial and tax
information, such as costs, depreciation attributes, and retirement information
on assets.
branch A tree node that rolls up to nodes above it in the hierarchy, as defined in PeopleSoft
Tree Manager.
budgetary account only An account used by the system only and not by users; this type of account does
not accept transactions. You can only budget with this account. Formerly called
“system-maintained account.”
budget check In commitment control, the processing of source transactions against control budget
ledgers, to see if they pass, fail, or pass with a warning.
budget control In commitment control, budget control ensures that commitments and expenditures
don’t exceed budgets. It enables you to track transactions against corresponding
budgets and terminate a document’s cycle if the defined budget conditions are not met.
For example, you can prevent a purchase order from being dispatched to a vendor if
there are insufficient funds in the related budget to support it.
budget period The interval of time (such as 12 months or 4 quarters) into which a period is divided
for budgetary and reporting purposes. The ChartField allows maximum flexibility to
define operational accounting time periods without restriction to only one calendar.
business activity The name of a subset of a detailed business process. This might be a specific
transaction, task, or action that you perform in a business process.
business event In PeopleSoft Enterprise Receivables, defines the processing characteristics for the
Receivable Update process for a draft activity.
In PeopleSoft Enterprise Sales Incentive Management, an original business transaction
or activity that may justify the creation of a PeopleSoft Enterprise Incentive
Management event (a sale, for example).
business process A standard set of 17 business processes are defined and maintained by the PeopleSoft
Enterprise product families and are supported by the Business Process Engineering
group. An example of a business process is Order Fulfillment, which is a business
process that manages sales orders and contracts, inventory, billing, and so forth.
See also detailed business process.
business task The name of the specific function depicted in one of the business processes.
business unit A corporation or a subset of a corporation that is independent with regard to one or
more operational or accounting functions.
buyer In PeopleSoft Enterprise eSettlements, an organization (or business unit, as opposed
to an individual) that transacts with suppliers (vendors) within the system. A buyer
creates payments for purchases that are made in the system.
campus In PeopleSoft Enterprise Campus Solutions, an entity that is usually associated with
a distinct physical administrative unit, that belongs to a single academic institution,
that uses a unique course catalog, and that produces a common transcript for students
within the same academic career.
catalog item In PeopleSoft Enterprise Learning Management, a specific topic that a learner can
study and have tracked. For example, “Introduction to Microsoft Word.” A catalog
item contains general information about the topic and includes a course code,
description, categorization, keywords, and delivery methods. A catalog item can
have one or more learning activities.
catalog map In PeopleSoft Enterprise Catalog Management, translates values from the catalog
source data to the format of the company’s catalog.
catalog partner In PeopleSoft Enterprise Catalog Management, shares responsibility with the
enterprise catalog manager for maintaining catalog content.
categorization Associates partner offerings with catalog offerings and groups them into enterprise
catalog categories.
category In PeopleSoft Enterprise Campus Solutions, a broad grouping to which specific
comments or communications (contexts) are assigned. Category codes are also linked
to 3C access groups so that you can assign data-entry or view-only privileges across
functions.
channel In PeopleSoft MultiChannel Framework, email, chat, voice (computer telephone
integration [CTI]), or a generic event.
ChartField A field that stores a chart of accounts, resources, and so on, depending on the
PeopleSoft Enterprise application. ChartField values represent individual account
numbers, department codes, and so forth.
ChartField balancing You can require specific ChartFields to match up (balance) on the debit and the credit
side of a transaction.
ChartField combination edit The process of editing journal lines for valid ChartField combinations based on
user-defined rules.
ChartKey One or more fields that uniquely identify each row in a table. Some tables contain only
one field as the key, while others require a combination.
checkbook In PeopleSoft Enterprise Promotions Management, enables you to view financial data
(such as planned, incurred, and actual amounts) that is related to funds and trade
promotions.
checklist code In PeopleSoft Enterprise Campus Solutions, a code that represents a list of planned
or completed action items that can be assigned to a staff member, volunteer, or unit.
Checklists enable you to view all action assignments on one page.
class In PeopleSoft Enterprise Campus Solutions, a specific offering of a course component
within an academic term.
See also course.
Class ChartField A ChartField value that identifies a unique appropriation budget key when you
combine it with a fund, department ID, and program code, as well as a budget period.
Formerly called sub-classification.
clearance In PeopleSoft Enterprise Campus Solutions, the period of time during which
a constituent in PeopleSoft Enterprise Contributor Relations is approved for
involvement in an initiative or an action. Clearances are used to prevent development
officers from making multiple requests to a constituent during the same time period.
clone In PeopleCode, to make a unique copy. In contrast, to copy may mean making a
new reference to an object, so if the underlying object is changed, both the copy and
the original change.
cohort In PeopleSoft Enterprise Campus Solutions, the highest level of the three-level
classification structure that you define for enrollment management. You can define a
cohort level, link it to other levels, and set enrollment target numbers for it.
See also population and division.
collection To make a set of documents available for searching in Verity, you must first create
at least one collection. A collection is set of directories and files that allow search
application users to use the Verity search engine to quickly find and display source
documents that match search criteria. A collection is a set of statistics and pointers
to the source documents, stored in a proprietary format on a file server. Because a
collection can only store information for a single location, PeopleTools maintains a set
of collections (one per language code) for each search index object.
collection rule In PeopleSoft Enterprise Receivables, a user-defined rule that defines actions to
take for a customer based on both the amount and the number of days past due for
outstanding balances.
comm key See communication key.
communication key In PeopleSoft Enterprise Campus Solutions, a single code for entering a combination
of communication category, communication context, communication method,
communication direction, and standard letter code. Communication keys (also called
comm keys or speed keys) can be created for background processes as well as for
specific users.
credit level; however, these may be modified at the class level. Courses can contain
multiple components such as lecture, discussion, and lab.
See also class.
course share set In PeopleSoft Enterprise Campus Solutions, a tag that defines a set of requirement
groups that can share courses. Course share sets are used in PeopleSoft Enterprise
Academic Advisement.
current learning In PeopleSoft Enterprise Learning Management, a self-service repository for all of a
learner’s in-progress learning activities and programs.
data acquisition In PeopleSoft Enterprise Incentive Management, the process during which raw
business transactions are acquired from external source systems and fed into the
operational data store (ODS).
data cube In PeopleSoft Analytic Calculation Engine, a data cube is a container for one kind
of data (such as Sales data) and works with in tandem with one or more dimensions.
Dimensions and data cubes in PeopleSoft Analytic Calculation Engine are unrelated
to dimensions and online analytical processing (OLAP) cubes in PeopleSoft Cube
Manager.
data elements Data elements, at their simplest level, define a subset of data and the rules by which
to group them.
For Workforce Analytics, data elements are rules that tell the system what measures to
retrieve about your workforce groups.
dataset A data grouping that enables role-based filtering and distribution of data. You can
limit the range and quantity of data that is displayed for a user by associating dataset
rules with user roles. The result of dataset rules is a set of data that is appropriate
for the user’s roles.
delivery method In PeopleSoft Enterprise Learning Management, identifies the primary type of
delivery method in which a particular learning activity is offered. Also provides
default values for the learning activity, such as cost and language. This is primarily
used to help learners search the catalog for the type of delivery from which they learn
best. Because PeopleSoft Enterprise Learning Management is a blended learning
system, it does not enforce the delivery method.
In PeopleSoft Enterprise Supply Chain Management, identifies the method by which
goods are shipped to their destinations (such as truck, air, and rail). The delivery
method is specified when creating shipment schedules.
delivery method type In PeopleSoft Enterprise Learning Management, identifies how learning activities can
be delivered—for example, through online learning, classroom instruction, seminars,
books, and so forth—in an organization. The type determines whether the delivery
method includes scheduled components.
detailed business process A subset of the business process. For example, the detailed business process named
Determine Cash Position is a subset of the business process called Cash Management.
dimension In PeopleSoft Analytic Calculation Engine, a dimension contains a list of one kind
of data that can span various contexts, and it is a basic component of an analytic
model. Within the analytic model, a dimension is attached to one or more data cubes.
In PeopleSoft Cube Manager, a dimension is the most basic component of an OLAP
cube and specifies the PeopleSoft metadata to be used to create the dimension’s rollup
structure. Dimensions and data cubes in PeopleSoft Analytic Calculation Engine are
unrelated to dimensions and OLAP cubes in PeopleSoft Cube Manager.
directory information tree In PeopleSoft Enterprise Directory Interface, the representation of a directory’s
hierarchical structure.
division In PeopleSoft Enterprise Campus Solutions, the lowest level of the three-level
classification structure that you define in PeopleSoft Enterprise Recruiting and
Admissions for enrollment management. You can define a division level, link it to
other levels, and set enrollment target numbers for it.
See also population and cohort.
document sequencing A flexible method that sequentially numbers the financial transactions (for example,
bills, purchase orders, invoices, and payments) in the system for statutory reporting
and for tracking commercial transaction activity.
dynamic detail tree A tree that takes its detail values—dynamic details—directly from a table in the
database, rather than from a range of values that are entered by the user.
edit table A table in the database that has its own record definition, such as the Department table.
As fields are entered into a PeopleSoft Enterprise application, they can be validated
against an edit table to ensure data integrity throughout the system.
effective date A method of dating information in PeopleSoft Enterprise applications. You can
predate information to add historical data to your system, or postdate information in
order to enter it before it actually goes into effect. By using effective dates, you don’t
delete values; you enter a new value with a current effective date.
EIM ledger Abbreviation for Enterprise Incentive Management ledger. In PeopleSoft Enterprise
Incentive Management, an object to handle incremental result gathering within the
scope of a participant. The ledger captures a result set with all of the appropriate traces
to the data origin and to the processing steps of which it is a result.
elimination set In PeopleSoft Enterprise General Ledger, a related group of intercompany accounts
that is processed during consolidations.
entry event In PeopleSoft Enterprise General Ledger, Receivables, Payables, Purchasing, and
Billing, a business process that generates multiple debits and credits resulting from
single transactions to produce standard, supplemental accounting entries.
equitization In PeopleSoft Enterprise General Ledger, a business process that enables parent
companies to calculate the net income of subsidiaries on a monthly basis and adjust
that amount to increase the investment amount and equity income amount before
performing consolidations.
equity item limit In PeopleSoft Enterprise Campus Solutions, the amounts of funds set by the institution
to be awarded with discretionary or gift funds. The limit could be reduced by amounts
equal to such things as expected family contribution (EFC) or parent contribution.
Students are packaged by Equity Item Type Groups and Related Equity Item Types.
This limit can be used to assure that similar student populations are packaged equally.
event A predefined point either in the Component Processor flow or in the program flow.
As each point is encountered, the event activates each component, triggering any
PeopleCode program that is associated with that component and that event. Examples
of events are FieldChange, SavePreChange, and RowDelete.
In PeopleSoft Enterprise Human Resources, also refers to an incident that affects
benefits eligibility.
event propagation process In PeopleSoft Enterprise Sales Incentive Management, a process that determines,
through logic, the propagation of an original PeopleSoft Enterprise Incentive
Management event and creates a derivative (duplicate) of the original event to
be processed by other objects. PeopleSoft Enterprise Enterprise Sales Incentive
Management uses this mechanism to implement splits, roll-ups, and so on. Event
propagation determines who receives the credit.
exception In PeopleSoft Enterprise Receivables, an item that either is a deduction or is in dispute.
exclusive pricing In PeopleSoft Enterprise Order Management, a type of arbitration plan that is
associated with a price rule. Exclusive pricing is used to price sales order transactions.
fact In PeopleSoft Enterprise applications, facts are numeric data values from fields from a
source database as well as an analytic application. A fact can be anything you want
to measure your business by, for example, revenue, actual, budget data, or sales
numbers. A fact is stored on a fact table.
financial aid term In PeopleSoft Enterprise Campus Solutions, a combination of a period of time that the
school determines as an instructional accounting period and an academic career. It
is created and defined during the setup process. Only terms eligible for financial aid
are set up for each financial aid career.
forecast item A logical entity with a unique set of descriptive demand and forecast data that is used
as the basis to forecast demand. You create forecast items for a wide range of uses, but
they ultimately represent things that you buy, sell, or use in your organization and for
which you require a predictable usage.
fund In PeopleSoft Enterprise Promotions Management, a budget that can be used to fund
promotional activity. There are four funding methods: top down, fixed accrual,
rolling accrual, and zero-based accrual.
gap In PeopleSoft Enterprise Campus Solutions, an artificial figure that sets aside an
amount of unmet financial aid need that is not funded with Title IV funds. A gap can
be used to prevent fully funding any student to conserve funds, or it can be used to
preserve unmet financial aid need so that institutional funds can be awarded.
generic process type In PeopleSoft Process Scheduler, process types are identified by a generic process
type. For example, the generic process type SQR includes all SQR process types,
such as SQR process and SQR report.
gift table In PeopleSoft Enterprise Campus Solutions, a table or so-called donor pyramid
describing the number and size of gifts that you expect will be needed to successfully
complete the campaign in PeopleSoft Enterprise Contributor Relations. The gift table
enables you to estimate the number of donors and prospects that you need at each
gift level to reach the campaign goal.
GL business unit Abbreviation for general ledger business unit. A unit in an organization that is an
independent entity for accounting purposes. It maintains its own set of accounting
books.
See also business unit.
GL entry template Abbreviation for general ledger entry template. In PeopleSoft Enterprise Campus
Solutions, a template that defines how a particular item is sent to the general ledger.
An item-type maps to the general ledger, and the GL entry template can involve
multiple general ledger accounts. The entry to the general ledger is further controlled
by high-level flags that control the summarization and the type of accounting—that is,
accrual or cash.
GL Interface process Abbreviation for General Ledger Interface process. In PeopleSoft Enterprise Campus
Solutions, a process that is used to send transactions from PeopleSoft Enterprise
Student Financials to the general ledger. Item types are mapped to specific general
ledger accounts, enabling transactions to move to the general ledger when the GL
Interface process is run.
group In PeopleSoft Enterprise Billing and Receivables, a posting entity that comprises one
or more transactions (items, deposits, payments, transfers, matches, or write-offs).
In PeopleSoft Enterprise Human Resources Management and Supply Chain
Management, any set of records that are associated under a single name or variable to
joint communication In PeopleSoft Enterprise Campus Solutions, one letter that is addressed jointly to two
people. For example, a letter might be addressed to both Mr. Sudhir Awat and Ms.
Samantha Mortelli. A relationship must be established between the two individuals in
the database, and at least one of the individuals must have an ID in the database.
keyword In PeopleSoft Enterprise Campus Solutions, a term that you link to particular elements
within PeopleSoft Enterprise Student Financials, Financial Aid, and Contributor
Relations. You can use keywords as search criteria that enable you to locate specific
records in a search dialog box.
KPI An abbreviation for key performance indicator. A high-level measurement of how well
an organization is doing in achieving critical success factors. This defines the data
value or calculation upon which an assessment is determined.
LDIF file Abbreviation for Lightweight Directory Access Protocol (LDAP) Data Interchange
Format file. Contains discrepancies between PeopleSoft Enterprise data and directory
data.
learner group In PeopleSoft Enterprise Learning Management, a group of learners who are linked
to the same learning environment. Members of the learner group can share the same
attributes, such as the same department or job code. Learner groups are used to control
access to and enrollment in learning activities and programs. They are also used to
perform group enrollments and mass enrollments in the back office.
learning components In PeopleSoft Enterprise Learning Management, the foundational building blocks
of learning activities. PeopleSoft Enterprise Learning Management supports six
basic types of learning components: web-based, session, webcast, test, survey, and
assignment. One or more of these learning component types compose a single
learning activity.
learning environment In PeopleSoft Enterprise Learning Management, identifies a set of categories and
catalog items that can be made available to learner groups. Also defines the default
values that are assigned to the learning activities and programs that are created within a
particular learning environment. Learning environments provide a way to partition the
catalog so that learners see only those items that are relevant to them.
learning history In PeopleSoft Enterprise Learning Management, a self-service repository for all of a
learner’s completed learning activities and programs.
ledger mapping You use ledger mapping to relate expense data from general ledger accounts to
resource objects. Multiple ledger line items can be mapped to one or more resource
IDs. You can also use ledger mapping to map dollar amounts (referred to as rates)
to business units. You can map the amounts in two different ways: an actual amount
that represents actual costs of the accounting period, or a budgeted amount that can be
used to calculate the capacity rates as well as budgeted model results. In PeopleSoft
Enterprise Warehouse, you can map general ledger accounts to the EW Ledger table.
library section In PeopleSoft Enterprise Incentive Management, a section that is defined in a plan (or
template) and that is available for other plans to share. Changes to a library section are
reflected in all plans that use it.
linked section In PeopleSoft Enterprise Incentive Management, a section that is defined in a plan
template but appears in a plan. Changes to linked sections propagate to plans using
that section.
linked variable In PeopleSoft Enterprise Incentive Management, a variable that is defined and
maintained in a plan template and that also appears in a plan. Changes to linked
variables propagate to plans using that variable.
LMS Abbreviation for learning management system. In PeopleSoft Enterprise Campus
Solutions, LMS is a PeopleSoft Enterprise Student Records feature that provides a
transaction to all base currencies (all ledgers) or to only one of those base currencies
(ledgers).
multicurrency The ability to process transactions in a currency other than the business unit’s base
currency.
national allowance In PeopleSoft Enterprise Promotions Management, a promotion at the corporate level
that is funded by nondiscretionary dollars. In the industry, you may know this as a
national promotion, a corporate promotion, or a corporate discount.
need In PeopleSoft Enterprise Campus Solutions, the difference between the cost of
attendance (COA) and the expected family contribution (EFC). It is the gap between
the cost of attending the school and the student’s resources. The financial aid package
is based on the amount of financial need. The process of determining a student’s
need is called need analysis.
node-oriented tree A tree that is based on a detail structure, but the detail values are not used.
pagelet Each block of content on the home page is called a pagelet. These pagelets display
summary information within a small rectangular area on the page. The pagelet provide
users with a snapshot of their most relevant PeopleSoft Enterprise and non-PeopleSoft
Enterprise content.
participant In PeopleSoft Enterprise Incentive Management, participants are recipients of the
incentive compensation calculation process.
participant object Each participant object may be related to one or more compensation objects.
See also compensation object.
partner A company that supplies products or services that are resold or purchased by the
enterprise.
pay cycle In PeopleSoft Enterprise Payables, a set of rules that define the criteria by which it
should select scheduled payments for payment creation.
payment shuffle In PeopleSoft Enterprise Campus Solutions, a process allowing payments that have
been previously posted to a student’s account to be automatically reapplied when a
higher priority payment is posted or the payment allocation definition is changed.
pending item In PeopleSoft Enterprise Receivables, an individual receivable (such as an invoice,
a credit memo, or a write-off) that has been entered in or created by the system, but
hasn’t been posted.
PeopleCode PeopleCode is a proprietary language, executed by the PeopleSoft Enterprise
component processor. PeopleCode generates results based on existing data or user
actions. By using various tools provided with PeopleTools, external services are
available to all PeopleSoft Enterprise applications wherever PeopleCode can be
executed.
PeopleCode event See event.
PeopleSoft Pure Internet The fundamental architecture on which PeopleSoft 8 applications are constructed,
Architecture consisting of a relational database management system (RDBMS), an application
server, a web server, and a browser.
performance measurement In PeopleSoft Enterprise Incentive Management, a variable used to store data (similar
to an aggregator, but without a predefined formula) within the scope of an incentive
plan. Performance measures are associated with a plan calendar, territory, and
participant. Performance measurements are used for quota calculation and reporting.
period context In PeopleSoft Enterprise Incentive Management, because a participant typically
uses the same compensation plan for multiple periods, the period context associates
a plan context with a specific calendar period and fiscal year. The period context
references the associated plan context, thus forming a chain. Each plan context has a
corresponding set of period contexts.
person of interest A person about whom the organization maintains information but who is not part of
the workforce.
personal portfolio In PeopleSoft Enterprise Campus Solutions, the user-accessible menu item that
contains an individual’s name, address, telephone number, and other personal
information.
plan In PeopleSoft Enterprise Sales Incentive Management, a collection of allocation rules,
variables, steps, sections, and incentive rules that instruct the PeopleSoft Enterprise
Incentive Management engine in how to process transactions.
plan context In PeopleSoft Enterprise Incentive Management, correlates a participant with
the compensation plan and node to which the participant is assigned, enabling
the PeopleSoft Enterprise Incentive Management system to find anything that is
associated with the node and that is required to perform compensation processing.
Each participant, node, and plan combination represents a unique plan context—if
three participants are on a compensation structure, each has a different plan context.
Configuration plans are identified by plan contexts and are associated with the
participants that refer to them.
plan template In PeopleSoft Enterprise Incentive Management, the base from which a plan is created.
A plan template contains common sections and variables that are inherited by all plans
that are created from the template. A template may contain steps and sections that
are not visible in the plan definition.
planned learning In PeopleSoft Enterprise Learning Management, a self-service repository for all of
a learner’s planned learning activities and programs.
planning instance In PeopleSoft Enterprise Supply Planning, a set of data (business units, items, supplies,
and demands) constituting the inputs and outputs of a supply plan.
population In PeopleSoft Enterprise Campus Solutions, the middle level of the three-level
classification structure that you define in PeopleSoft Enterprise Recruiting and
Admissions for enrollment management. You can define a population level, link it to
other levels, and set enrollment target numbers for it.
See also division and cohort.
portal registry In PeopleSoft Enterprise applications, the portal registry is a tree-like structure in
which content references are organized, classified, and registered. It is a central
repository that defines both the structure and content of a portal through a hierarchical,
tree-like structure of folders useful for organizing and securing content references.
price list In PeopleSoft Enterprise Pricer, enables you to select products and conditions for
which the price list applies to a transaction. During a transaction, the system either
determines the product price based on the predefined search hierarchy for the
transaction or uses the product’s lowest price on any associated, active price lists. This
price is used as the basis for any further discounts and surcharges.
price rule In PeopleSoft Enterprise Pricer, defines the conditions that must be met for
adjustments to be applied to the base price. Multiple rules can apply when conditions
of each rule are met.
price rule condition In PeopleSoft Enterprise Pricer, selects the price-by fields, the values for the price-by
fields, and the operator that determines how the price-by fields are related to the
transaction.
price rule key In PeopleSoft Enterprise Pricer, defines the fields that are available to define price rule
conditions (which are used to match a transaction) on the price rule.
primacy number In PeopleSoft Enterprise Campus Solutions, a number that the system uses to prioritize
financial aid applications when students are enrolled in multiple academic careers and
academic programs at the same time. The Consolidate Academic Statistics process
uses the primacy number indicated for both the career and program at the institutional
level to determine a student’s primary career and program. The system also uses the
number to determine the primary student attribute value that is used when you extract
data to report on cohorts. The lowest number takes precedence.
primary name type In PeopleSoft Enterprise Campus Solutions, the name type that is used to link the name
stored at the highest level within the system to the lower-level set of names that an
individual provides.
process category In PeopleSoft Process Scheduler, processes that are grouped for server load balancing
and prioritization.
process group In PeopleSoft Enterprise Financials, a group of application processes (performed in a
defined order) that users can initiate in real time, directly from a transaction entry page.
process definition Process definitions define each run request.
process instance A unique number that identifies each process request. This value is automatically
incremented and assigned to each requested process when the process is submitted to
run.
process job You can link process definitions into a job request and process each request serially
or in parallel. You can also initiate subsequent processes based on the return code
from each prior request.
process request A single run request, such as a Structured Query Report (SQR), a COBOL or
Application Engine program, or a Crystal report that you run through PeopleSoft
Process Scheduler.
process run control A PeopleTools variable used to retain PeopleSoft Process Scheduler values needed
at runtime for all requests that reference a run control ID. Do not confuse these with
application run controls, which may be defined with the same run control ID, but only
contain information specific to a given application process request.
product A PeopleSoft Enterprise or third-party product. PeopleSoft organizes its software
products into product families and product lines. Interactive Services Repository
contains information about every release of every product that PeopleSoft sells, as
well as products from certified third-party companies. These products appear with
the product name and release number.
product category In PeopleSoft Enterprise Incentive Management, indicates an application in the
PeopleSoft Enterprise Incentive Management suite of products. Each transaction in
the PeopleSoft Enterprise Incentive Management system is associated with a product
category.
product family A group of products that are related by common functionality. The family names
that can be searched using Interactive Service Repository are Oracle’s PeopleSoft
Enterprise, PeopleSoft EnterpriseOne, PeopleSoft World, and third-party, certified
partners.
product line The name of a PeopleSoft Enterprise product line or the company name of a third-party
certified partner. Integration Services Repository enables you to search for integration
points by product line.
programs In PeopleSoft Enterprise Learning Management, a high-level grouping that guides the
learner along a specific learning path through sections of catalog items. PeopleSoft
Enterprise Learning Systems provides two types of programs—curricula and
certifications.
seasonal address In PeopleSoft Enterprise Campus Solutions, an address that recurs for the same length
of time at the same time of year each year until adjusted or deleted.
section In PeopleSoft Enterprise Incentive Management, a collection of incentive rules that
operate on transactions of a specific type. Sections enable plans to be segmented to
process logical events in different sections.
security event In commitment control, security events trigger security authorization checking, such
as budget entries, transfers, and adjustments; exception overrides and notifications;
and inquiries.
serial genealogy In PeopleSoft Enterprise Manufacturing, the ability to track the composition of a
specific, serial-controlled item.
serial in production In PeopleSoft Enterprise Manufacturing, enables the tracing of serial information for
manufactured items. This is maintained in the Item Master record.
service impact In PeopleSoft Enterprise Campus Solutions, the resulting action triggered by a service
indicator. For example, a service indicator that reflects nonpayment of account
balances by a student might result in a service impact that prohibits registration for
classes.
service indicator In PeopleSoft Enterprise Campus Solutions, indicates services that may be either
withheld or provided to an individual. Negative service indicators indicate holds that
prevent the individual from receiving specified services, such as check-cashing
privileges or registration for classes. Positive service indicators designate special
services that are provided to the individual, such as front-of-line service or special
services for disabled students.
session In PeopleSoft Enterprise Campus Solutions, time elements that subdivide a term into
multiple time periods during which classes are offered. In PeopleSoft Enterprise
Contributor Relations, a session is the means of validating gift, pledge, membership,
or adjustment data entry . It controls access to the data entered by a specific user ID.
Sessions are balanced, queued, and then posted to the institution’s financial system.
Sessions must be posted to enter a matching gift or pledge payment, to make an
adjustment, or to process giving clubs or acknowledgements.
In PeopleSoft Enterprise Learning Management, a single meeting day of an activity
(that is, the period of time between start and finish times within a day). The session
stores the specific date, location, meeting time, and instructor. Sessions are used for
scheduled training.
session template In PeopleSoft Enterprise Learning Management, enables you to set up common
activity characteristics that may be reused while scheduling a PeopleSoft Enterprise
Learning Management activity—characteristics such as days of the week, start and
end times, facility and room assignments, instructors, and equipment. A session
pattern template can be attached to an activity that is being scheduled. Attaching a
template to an activity causes all of the default template information to populate
the activity session pattern.
setup relationship In PeopleSoft Enterprise Incentive Management, a relationship object type that
associates a configuration plan with any structure node.
share driver expression In PeopleSoft Enterprise Business Planning, a named planning method similar to a
driver expression, but which you can set up globally for shared use within a single
planning application or to be shared between multiple planning applications through
PeopleSoft Enterprise Warehouse.
single signon With single signon, users can, after being authenticated by a PeopleSoft Enterprise
application server, access a second PeopleSoft Enterprise application server without
entering a user ID or password.
source key process In PeopleSoft Enterprise Campus Solutions, a process that relates a particular
transaction to the source of the charge or financial aid. On selected pages, you can drill
down into particular charges.
source transaction In commitment control, any transaction generated in a PeopleSoft Enterprise or
third-party application that is integrated with commitment control and which can be
checked against commitment control budgets. For example, a pre-encumbrance,
encumbrance, expenditure, recognized revenue, or collected revenue transaction.
speed key See communication key.
SpeedChart A user-defined shorthand key that designates several ChartKeys to be used for voucher
entry. Percentages can optionally be related to each ChartKey in a SpeedChart
definition.
SpeedType A code representing a combination of ChartField values. SpeedTypes simplify the
entry of ChartFields commonly used together.
staging A method of consolidating selected partner offerings with the offerings from the
enterprise’s other partners.
standard letter code In PeopleSoft Enterprise Campus Solutions, a standard letter code used to identify
each letter template available for use in mail merge functions. Every letter generated in
the system must have a standard letter code identification.
statutory account Account required by a regulatory authority for recording and reporting financial
results. In PeopleSoft Enterprise, this is equivalent to the Alternate Account
(ALTACCT) ChartField.
step In PeopleSoft Enterprise Sales Incentive Management, a collection of sections in a
plan. Each step corresponds to a step in the job run.
storage level In PeopleSoft Enterprise Inventory, identifies the level of a material storage location.
Material storage locations are made up of a business unit, a storage area, and a storage
level. You can set up to four storage levels.
subcustomer qualifier A value that groups customers into a division for which you can generate detailed
history, aging, events, and profiles.
Summary ChartField You use summary ChartFields to create summary ledgers that roll up detail amounts
based on specific detail values or on selected tree nodes. When detail values are
summarized using tree nodes, summary ChartFields must be used in the summary
ledger data record to accommodate the maximum length of a node name (20
characters).
summary ledger An accounting feature used primarily in allocations, inquiries, and PS/nVision
reporting to store combined account balances from detail ledgers. Summary ledgers
increase speed and efficiency of reporting by eliminating the need to summarize
detail ledger balances each time a report is requested. Instead, detail balances are
summarized in a background process according to user-specified criteria and stored on
summary ledgers. The summary ledgers are then accessed directly for reporting.
summary time period In PeopleSoft Enterprise Business Planning, any time period (other than a base time
period) that is an aggregate of other time periods, including other summary time
periods and base time periods, such as quarter and year total.
summary tree A tree used to roll up accounts for each type of report in summary ledgers. Summary
trees enable you to define trees on trees. In a summary tree, the detail values are really
nodes on a detail tree or another summary tree (known as the basis tree). A summary
tree structure specifies the details on which the summary trees are to be built.
syndicate To distribute a production version of the enterprise catalog to partners.
system function In PeopleSoft Enterprise Receivables, an activity that defines how the system
generates accounting entries for the general ledger.
system source The system source identifies the source of a transaction row in the database. For
example, a transaction that originates in PeopleSoft Enterprise Expenses contains a
system source code of BEX (Expenses Batch).
When PeopleSoft Enterprise Project Costing prices the source transaction row for
billing, the system creates a new row with a system source code of PRP (Project
Costing pricing), which represents the system source of the new row. System
source codes can identify sources that are internal or external to the PeopleSoft
Enterprise system. For example, processes that import data from Microsoft Project
into PeopleSoft Enterprise applications create transaction rows with a source code
of MSP (Microsoft Project).
TableSet A means of sharing similar sets of values in control tables, where the actual data values
are different but the structure of the tables is the same.
TableSet sharing Shared data that is stored in many tables that are based on the same TableSets. Tables
that use TableSet sharing contain the SETID field as an additional key or unique
identifier.
target currency The value of the entry currency or currencies converted to a single currency for budget
viewing and inquiry purposes.
tax authority In PeopleSoft Enterprise Campus Solutions, a user-defined element that combines a
description and percentage of a tax with an account type, an item type, and a service
impact.
template A template is HTML code associated with a web page. It defines the layout of the page
and also where to get HTML for each part of the page. In PeopleSoft Enterprise, you
use templates to build a page by combining HTML from a number of sources. For a
PeopleSoft Enterprise portal, all templates must be registered in the portal registry,
and each content reference must be assigned a template.
territory In PeopleSoft Enterprise Sales Incentive Management, hierarchical relationships of
business objects, including regions, products, customers, industries, and participants.
third party A company or vendor that has extensive PeopleSoft Enterprise product knowledge
and whose products and integrations have been certified and are compatible with
PeopleSoft Enterprise applications.
3C engine Abbreviation for Communications, Checklists, and Comments engine. In PeopleSoft
Enterprise Campus Solutions, the 3C engine enables you to automate business
processes that involve additions, deletions, and updates to communications, checklists,
and comments. You define events and triggers to engage the engine, which runs
the mass change and processes the 3C records (for individuals or organizations)
immediately and automatically from within business processes.
3C group Abbreviation for Communications, Checklists, and Comments group. In PeopleSoft
Enterprise Campus Solutions, a method of assigning or restricting access privileges. A
3C group enables you to group specific communication categories, checklist codes,
and comment categories. You can then assign the group inquiry-only access or update
access, as appropriate.
TimeSpan A relative period, such as year-to-date or current period, that can be used in various
PeopleSoft Enterprise General Ledger functions and reports when a rolling time frame,
rather than a specific date, is required. TimeSpans can also be used with flexible
formulas in PeopleSoft Enterprise Projects.
trace usage In PeopleSoft Enterprise Manufacturing, enables the control of which components will
be traced during the manufacturing process. Serial- and lot-controlled components can
be traced. This is maintained in the Item Master record.
transaction allocation In PeopleSoft Enterprise Incentive Management, the process of identifying the owner
of a transaction. When a raw transaction from a batch is allocated to a plan context,
the transaction is duplicated in the PeopleSoft Enterprise Incentive Management
transaction tables.
transaction state In PeopleSoft Enterprise Incentive Management, a value assigned by an incentive
rule to a transaction. Transaction states enable sections to process only transactions
that are at a specific stage in system processing. After being successfully processed,
transactions may be promoted to the next transaction state and “picked up” by a
different section for further processing.
Translate table A system edit table that stores codes and translate values for the miscellaneous fields in
the database that do not warrant individual edit tables of their own.
tree The graphical hierarchy in PeopleSoft Enterprise systems that displays the relationship
between all accounting units (for example, corporate divisions, projects, reporting
groups, account numbers) and determines roll-up hierarchies.
tuition lock In PeopleSoft Enterprise Campus Solutions, a feature in the Tuition Calculation
process that enables you to specify a point in a term after which students are charged a
minimum (or locked) fee amount. Students are charged the locked fee amount even if
they later drop classes and take less than the normal load level for that tuition charge.
unclaimed transaction In PeopleSoft Enterprise Incentive Management, a transaction that is not claimed
by a node or participant after the allocation process has completed, usually due to
missing or incomplete data. Unclaimed transactions may be manually assigned to the
appropriate node or participant by a compensation administrator.
universal navigation header Every PeopleSoft Enterprise portal includes the universal navigation header, intended
to appear at the top of every page as long as the user is signed on to the portal. In
addition to providing access to the standard navigation buttons (like Home, Favorites,
and signoff) the universal navigation header can also display a welcome message for
each user.
update access In PeopleSoft Enterprise Campus Solutions, a type of security access that permits the
user to edit and update data.
See also inquiry access.
user interaction object In PeopleSoft Enterprise Sales Incentive Management, used to define the reporting
components and reports that a participant can access in his or her context. All
PeopleSoft Enterprise Sales Incentive Management user interface objects and reports
are registered as user interaction objects. User interaction objects can be linked to a
compensation structure node through a compensation relationship object (individually
or as groups).
variable In PeopleSoft Enterprise Sales Incentive Management, the intermediate results of
calculations. Variables hold the calculation results and are then inputs to other
calculations. Variables can be plan variables that persist beyond the run of an engine or
local variables that exist only during the processing of a section.
VAT exception Abbreviation for value-added tax exception. A temporary or permanent exemption
from paying VAT that is granted to an organization. This terms refers to both VAT
exoneration and VAT suspension.
VAT exempt Abbreviation for value-added tax exempt. Describes goods and services that are not
subject to VAT. Organizations that supply exempt goods or services are unable to
recover the related input VAT. This is also referred to as exempt without recovery.
VAT exoneration Abbreviation for value-added tax exoneration. An organization that has been granted a
permanent exemption from paying VAT due to the nature of that organization.
VAT suspension Abbreviation for value-added tax suspension. An organization that has been granted a
temporary exemption from paying VAT.
warehouse A PeopleSoft Enterprise data warehouse that consists of predefined ETL maps, data
warehouse tools, and DataMart definitions.
work order In PeopleSoft Enterprise Services Procurement, enables an enterprise to create
resource-based and deliverable-based transactions that specify the basic terms and
conditions for hiring a specific service provider. When a service provider is hired, the
service provider logs time or progress against the work order.
worker A person who is part of the workforce; an employee or a contingent worker.
workset A group of people and organizations that are linked together as a set. You can use
worksets to simultaneously retrieve the data for a group of people and organizations
and work with the information on a single page.
worksheet A way of presenting data through a PeopleSoft Enterprise Business Analysis Modeler
interface that enables users to do in-depth analysis using pivoting tables, charts,
notes, and history information.
worklist The automated to-do list that PeopleSoft Workflow creates. From the worklist, you
can directly access the pages you need to perform the next action, and then return to
the worklist for another item.
XML link The XML Linking language enables you to insert elements into XML documents to
create a links between resources.
XML schema An XML definition that standardizes the representation of application messages,
component interfaces, or business interlinks.
XPI Abbreviation for eXtended Process Integrator. PeopleSoft XPI is the integration
infrastructure that enables both real-time and batch communication with JD Edwards
EnterpriseOne applications.
yield by operation In PeopleSoft Enterprise Manufacturing, the ability to plan the loss of a manufactured
item on an operation-by-operation basis.
zero-rated VAT Abbreviation for zero-rated value-added tax. A VAT transaction with a VAT code that
has a tax percent of zero. Used to track taxable VAT activity where no actual VAT
amount is charged. Organizations that supply zero-rated goods and services can still
recover the related input VAT. This is also referred to as exempt with recovery.
B M
bursting 22, 24 mapping PDF template files 19
search keys 25
template assignment 24 N
using PeopleCode 45 notes xiii
C O
comments, submitting xiv output formats 21
common elements xiv
configuring XML Publisher 2 P
contact information xiv pages used
creating templates 3 associate templates 14
cross-references xiii bursting 14
Customer Connection website x data source registration 26
Design Helper 9
D output 14
data sources Query Report Scheduler 36
registering 2 Query Report Viewer 36
registration 26 Report Category 9
related files 28 Report Definition 14
data tags 54 security 14
documentation sub-templates 29
printed x template translations 32
related x XML Publisher report scheduler 36
updates x PDF template files 19
PDF templates
F creating 53
files mapping data tags 54
mapping PDF template files 19 processing 53
translatable 34 working with 53
translations 35 PeopleBooks
ordering x
G PeopleCode
glossary 57 bursting 45
distributing reports 47
I for customizing report output 46
images for reports 43
importing 52 report parameters 45
inserting 51 searching reports 47
referencing 52 using with custom reports 44
implementation 2
running reports 3, 36
security 6
set up pages 9
template design helpers 11