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You can create an EDI transaction by using prebuilt EDI Template bundled with Connect. Use this template to create an EDI Outbound Transaction.
Before you start creating, ensure that you have created an EDI Partner and Data Dictionary.

To create an EDI Outbound Transaction:

  1. Click Transactions Templates.
  2. On the Templates screen, search EDI Outbound in the Search bar.

  3. Click  for the EDI Outbound Template to create an EDI Transaction. 




  4. Connect automatically populates the name and description for the Transaction, you can edit the name and description, if necessary. 



  5. Click Continue to define the Network and Partner.

  6. Choose the Network and Partner from the list. Only EDI Partners will be populated in the Partner drop-down list. 

    Info
    To select multiple Networks from the drop-down list, click on the networks one by one. 

     

  7. Click Next to define the EDI Configuration.

  8. On the EDI Configuration window, do the following:

    1. Select the EDI standard from the EDI Standard drop-down list. The available options are X12, HIPAA, and EDIFACT. 

    2. Select the version from the EDI Standard Version drop-down list. This list will have all the EDI versions you have created in the Data Dictionary. You will find 004010 and 005010 , 005010, and EDIFACT_D96A as a default EDI version.
    3. Provide the assigned code in the Association Assigned Code text box. 
    4. On the basis of the selected EDI version, the list of transaction set codes is populated in the Transaction Set Code drop-down list. Select the code from the drop-down list.
    5. Select the indicator from the Test/Production Indicator drop-down list. The available options are T-Test and P-Production. 

    6. Select the option from the Expect Acknowledgement drop-down list. Select Yes to receive an acknowledgment for the outbound messages sent.

    7. Provide the number of hours elapse before an expected functional acknowledgment is considered as overdue in the Hours Overdue text box.

    8. Select Use Global Transaction Control No check box to use the control number defined while adding a Partner.

    9. Type the last used transaction control number in the Last used Transaction Control No text box. The value is populated automatically based on the selected Transaction Set Code defined in Step d.
    10. The value in the Responsible Agency Code is populated automatically based on the Transaction Set Code you have selected.
    11. Select Compliance Check check box to execute a compliance check on your document. 
    12. Select the mode of transfer from the Batch Mode drop-down list. Select Yes to define the schedule for the batch process to send the outbound EDI message at defined intervals to the Partner. 
      Schedule drop-down list appears. Click  to create a Calendar Event. On the Calendar Event window:

      1. Provide the name and description of the Calendar Event in the text boxes.
      2. Select the date from which Calendar event will start and stop triggering in the Event Start Date and Event Expiry Date. Click  to select the date from the calendar. The date must be in MM/dd/yyyy format. 
      3. Select the start and expiry time from the Time drop-down list.
      4. Select the days of the week on which the event should fire from the Firing Days drop-down list. Following are the available options:

        OptionDescription

        All Days

        The event will fire on all days (Mon to Sun) of the week.

        Business Days

        The event will fire from Monday to Friday excluding holidays.

        Week Days

        The event will fire from Monday to Friday even if there are any holidays.

      5. Define the frequency of execution in the Firing Schedule. You need to define the frequency using Cron Expression. Click Help to know more about Cron Expressions. 
    13. Select Content Based Routing check box to select the Partner (to send the data) based on the content of the outbound source file. For example, based on the value of a particular field of the source file you want to decide to which Trading Partner outbound message should be sent. Content-based routing is used when data of one source file should go to the multiple Partners.
    14. Expand Group Envelope Properties.
      1. The value in the Functional ID is populated automatically based on the Transaction Set Code you have selected.
      2. Provide the Sender ID and Receiver ID in the text boxes.
      3. Select the Use Global Control No check box to use the group control number defined while adding a Partner.
      4. Type the last used group control number in the Last Used Control Number text box. 

      5. The value in the Responsible Agency Code and Envelope Version are populated automatically based on the Transaction Set Code you have selected.
      6. Select the Sequence from Group check box to follow the same sequence of the group. On selecting the check box, Format drop-down list appears. Select the format of the control number from the Format drop-down list.
    15. Expand ISA Envelope Properties.
      1. Click  to create the new one. The Create EDI ISA Envelope window appears.



      2. Type the name and description for the ISA Outbound Envelope activity in the Name and Description text boxes.
      3. Type the value in the Authorization code qualifier,default is 00. This is a required field with a maximum of two characters.
      4. Type the code in the Authorization codeThis is an optional alphanumeric field, with a minimum of one character and a maximum of 10 characters.
      5. Type the value in the Security code qualifier,default is 00. This is a required field with a maximum of two characters.
      6. Type the code in the Security codeThis is an optional alphanumeric field, with a minimum of one character and a maximum of 10 characters.
      7. Type the value in the Interchange SenderID qualifier. This is a required field with a maximum of two characters.
      8. Type the code in the Interchange SenderIDThis is an alphanumeric field, with a minimum of one character and a maximum of 15 characters.
      9. Type the value in the Interchange ReceiverID qualifier. This is a required field with a maximum of two characters.
      10. Type the code in the Interchange ReceiverIDThis is an alphanumeric field, with a minimum of one character and a maximum of 15 characters.
      11. Type the code in the Interchange Standards Identifier. This is a required field with a maximum of one character.
      12. Select the version from the Interchange VersionID.
      13. Select Use Global Interchange Control No check box to use the interchange control number defined in the outbound trading partner of this ISA outbound envelope activity. 
      14. Type the control number in the Interchange Control No. This is a required field with a maximum of nine characters.
      15. Select Yes from the Acknowledgement drop-down list to receive an acknowledgment for the messages sent.
      16. Select the indicator from the Test/Production Indicator drop-down list. 
      17. Provide the required separator in the Element Separator and Sub-element Separator. Select Hex Format check box for the hexadecimal values.  
      18. Provide the single separator in the Segment Terminator. Select Hex Format check box for the hexadecimal values. This character indicates the end of an EDI segment. In an X12 interchange, the segment terminator is defined as the character in the last character position of the ISA segment. 
      19. Provide the single separator in the Repetition Separator. Select Hex Format check box for the hexadecimal values.The repetition separator is used to separate segments that repeat within a transaction set.
      20. Select an appropriate segment line break from the Segment line break text box to display your EDI file data in a block format. Following are the available options:

        Option NameDescription

        CR-Carriage Return

        Appends a \n as segment terminator.

        LF-Line Feed

        Appends a \r as segment terminator.

        CR LF-Carriage Return/Line Feed

        Appends a \r\n as segment terminator.

      21. Select a project to associate your activity from the Project drop-down list.
      22. Click Save.

  9. Click Next to define the Source application account.

  10. Select the source application. The supported applications are Database, File, FTP, and JMS. 

  11. Click Next. Depending on the chosen Source application in the Template you are using, you need to select the account. You can either use an existing account or create a new one. Click  to add a new account. For information on how to add a new account, refer to Appendix D: Supported Applications.

    Info

    For Database, you need to define the Database Source and Database Event. For more information, click here.

    For FTP, you need to select the trigger, FTP Account, and configuration details. For more information, click here.

    For File, you need to define the File Event. For more information, click here.

    For JMS, you need to define the JMS Event. For more information, click here.

  12. Click Next to define the source format and layout. This screen appears only for FTP and File Source applications.

  13. Select the source data format and source data layout for the Source application. Source data format is the format in which the data of the source file exists, for example, text, excel. Source data layout is the layout of the source file. You can either use the existing layout or create a new layout. To create a new layout, click . For more information, refer to Appendix A: File Layouts.



  14. Click Next to define the encryption. This screen appears only for FTP and File Source applications.

  15. Select the Is Source File Encrypted? check box if the source file is in the encrypted form. On selecting the check box, you need to provide the key details. 



    Field NameDescription
    Key ManagerSelect the Key Manager from the list. To create a Key Manager, visit Account > Security Settings. To create a Key Manager, click here.
    Key NameThe default value is the default.
    Private Key PasswordPassword of the key.
    Confirm PasswordConfirm the password of the key.
  16. Click Next to select the destination application. The supported applications are File, FTP, JMS, and Spazio MFT/s.



     

  17. Click Next. The next screen differs depending upon the chosen Destination application.

    Info

    For FTP, you need to select the action, FTP Account, and configuration details. For more information, click here.

    For File, you need to define the LAN Target. For more information, click here.

    For JMS, you need to define the JMS Target. For more information, click here.

    For Spazio MFT/s, you need to define the Spazio MFT Target. For more information, click here.

  18. Click Next to define the file generation policy details. This screen appears only for FTP and File Destination applications.

  19. Provide the details in the corresponding fields.



  20. Click Next to define the encryption. This screen appears only for FTP and File Destination applications.
  21. Select Want to encrypt target file? check box if you want to encrypt the destination file. On selecting the check box, new fields appear. Provide the details in the corresponding fields and click Next.



  22. Click Next to define the routing. This screen appears if you have selected Content Based Routing check box while defining EDI settings.
  23. Provide the details in the fields. Click here for the details of the fields.

  24. Click Next to define the mapping.
  25. Define the mapping between the fields of the selected source and the destination application. 
  26. Click Save & Exit to save the Transaction.

    This creates the Transaction and is listed in the Transactions screen.

    Next Step

    Activating a Transaction