Difference between revisions of "B-Op FI Hub"

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* [[Dev:ZUGSEIL FI Hub Configuration|ZUGSEIL FI Hub Configuration]] - The tool to define which transactions shall be syched and which plugins to be used for transfer.  
* [[Dev:ZUGSEIL FI Hub Configuration|ZUGSEIL FI Hub Configuration]] - The tool to define which transactions shall be syched and which plugins to be used for transfer.  
* [[Dev:ZUGSEIL FI Hub Monitor|ZUGSEIL FI Hub Monitor]] - The main tool to see, analyze and revise the transactions shared with the 3rd party system.
* [[Dev:ZUGSEIL FI Hub Monitor|ZUGSEIL FI Hub Monitor]] - The main tool to see, analyze and revise the transactions shared with the 3rd party system.
*[[ZUGSEIL Bookkeeping Tools (BKT)]] - These tools are required to configure which book targets are required (e.g. per product group, ... )


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Revision as of 07:12, 2 May 2023

ZUGSEIL offers integrated procurement, warehousing, distribution and management process coverage for complex product groups. This makes it ideal for usage with existing ERPs which struggle with these process chains especially in more complex product groups. Since book-keeping is covered in the leading ERP, the book-keeping information needs to become transfered (booked) into it. This is the purpose of the ZUGSEIL FI Hub.

It makes sure that all finance relevant bookings are transfered to the leading bookkeeping application. ZUGSEIL FI Hub allows three operation modes:

  • Financial data only - This transfers only financial bookings. With this mode the leading ERP system will at any time have an up-to-date value of inventory accounts. All finance relevant transactions are also properly booked in the ERP-System including cost-center bookings for controlling purposes.
  • Finance and Inventory - Similar to the first mode, all financial bookings are performed. Additionally to the inventory accounts the article stock quantity affecting transactions are transmitted to the leading ERP.
  • Finance and aggregated Inventory - Similar to the first mode, all financial bookings are performed. Additionally to the inventory accounts the article stock quantity affecting transactions are transmitted to the leading ERP, ignoring sizes. This means the variant handling, which brings complexity which most ERPs cannot handle on all levels is masked for the ERP.

This article contains an overview on all covered transaction types.

B-Op Api

If you dont want to work with our FI Hub product or want to do the integration by your own developers you have the option to subscribe to the b-op Api, which allows you a broader way to implement integrations allowing to build more sophisticated or more customized forms of integration.

Components

  • ZUGSEIL FI Hub Core - The main component, which detects transactions, gathers the data and forwards it to the transaction relevant plugin.
  • ZUGSEIL FI Hub Plugin-types - The plugins which allow transmission of financial transactions to the 3rd party system.
  • ZUGSEIL FI Hub Configuration - The tool to define which transactions shall be syched and which plugins to be used for transfer.
  • ZUGSEIL FI Hub Monitor - The main tool to see, analyze and revise the transactions shared with the 3rd party system.
  • ZUGSEIL Bookkeeping Tools (BKT) - These tools are required to configure which book targets are required (e.g. per product group, ... )