The following table describes the file layouts used to import and exported data to and from eSite. These file layouts are used with processes in various locations throughout eSite.
eSite File Layout |
Location in eSite |
Description |
Leasing—Export to Blue Moon |
This file layout is used to transfer data to Blue Moon Software for printing lease documents when applications are approved. |
|
Ledger—Direct Rent |
The MerchantID.ACH file is created by Direct Rent to transfer resident payment data in an ACH batch (generally produced through ePay, Web payment import or MICR payments and adjustments) to a specified bank draft service provider. The supported ACH file formats are: |
|
Ledger—Refund & Forfeits |
This file layout is used for the Refund.APS file, which is required to manually transfer funds made to your accounting or general ledger system. |
|
Processing—Calculate Management Fees |
This layout is used for the BATCH.APS file created by the eSite Calculate Management Fees process. The file contains the management fee entries suitable for importing into your accounts payable system. |
|
Processing—Transfer to G/L |
This file layout is used for the file created by the Transfer to GL process. The file is created in the format selected on the AME, Interface global policies tab. The supported formats are: |
|
Data Transfer—Export to OCIUS |
OCIUS is a utility billing service used by property owners and management companies. This file layout is used for the XML file necessary for OCIUS to import eSite resident data into their database. |
|
Data Transfer—Export Utility Billing |
This file layout is used for the comma-delimited ASCII file named CYBER<PropertyID>.TXT, which is created by the Export Utility Billing process to distribute resident-specific data to the utility company. |
|
Data Transfer—Import Web Payments |
This file layout is used to import payments made via the Internet from a third party source to eSite. |
|
Data Transfer—Import from ASCII |
This file layout is required for the ASCII file used to import Payment, Billing and Recurring Charge records to eSite. |
|
Data Transfer—Import Expense Tables |
Use this tab to create or update expense tables along with their corresponding expense accounts and expense account details. |
|
Data Transfer—Import Unit Default Charges |
This file layout is used to import Unit Default Charges into eSite. |
See Also
Copyright © 2018 Infor. All rights reserved. www.infor.com.