This bulletin is a supplement to existing documentation and its purpose is to explain the use of interoperability Super Backflush for Inbound and Outbound transactions. It explains basic setup - control columns, required data columns and frequently used optional data completions to be populated to complete the transaction.
On the inbound side, this transaction is used to update EnterpriseOne tables with Super Backflush information. Outbound Super Backflush transactions do not use this interface table.
Shop Floor Management users will find this document interesting.
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