Last updated on APRIL 25, 2017
Applies to:PeopleSoft Enterprise FIN Asset Management - Version 8.9 to 9.2 [Release 8.9 to 9]
Information in this document applies to any platform.
This document was previously published as Customer Connection Solution 201044715
***Checked for relevance on 14-DEC-2009***
***Checked for relevance on 25-Apr-2017***
We are doing a PS Financials upgrade and we want to use the Excel to CI asset upload tool. While doing tests with the component interface we noticed that there are some fields that our client uses that are not part of the INTFC_FINPHY_SS_A template on the ExcelToCI spreadsheet, but the component has them (e.g. VENDOR_ID, VENDOR_NAME, INVOICE_ID, among others). Is there a way we can add these additional fields to the Excel to CI template?
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