Look in Administration → Acquisitions Administration → Providers
Column | Description/Notes |
---|---|
Provider Name | A unique name to identify the provider |
Code | A unique code to identify the provider |
Owner | The org unit who will "own" the provider. |
Currency | The currency format the provider accepts |
Active | Whether or not the Provider is "active" for use |
Default Claim Policy | ?? |
EDI Default | The default "EDI Account" to use (see EDI Accounts Configuration) |
The email address for the provider | |
Fax Phone | A fax number for the provider |
Holdings Tag | The holdings tag to be utilized (usually 852, for Evergreen) |
Phone | A phone number for the provider |
Prepayment Required | Whether or not prepayment is required |
SAN | The vendor provided, org unit specific SAN code |
URL | The vendor website |
Look in Administration → Acquisitions Administration → EDI Accounts
Column | Description/Notes |
---|---|
Label | A unique name to identify the provider |
Host | FTP/SFTP/SSH hostname - vendor assigned |
Username | FTP/SFTP/SSH username - vendor assigned |
Password | FTP/SFTP/SSH password - vendor assigned |
Account | Vendor assigned account number associated with your organization |
Owner | The organizational unit who owns the EDI account |
Last Activity | The date of last activity for the account |
Provider | This is a link to one of the "codes" in the "Providers" interface |
Path | The path on the vendor’s server where Evergreen will send it’s outgoing .epo files |
Incoming Directory | The path on the vendor’s server where "incoming" .epo files are stored |
Vendor Account Number | Vendor assigned account number. |
Vendor Assigned Code | Usually a sub-account designation. Can be used with or without the Vendor Account Number. |