Upon looking further into EDIFACT Envelope choices I found in a couple
of envelope choices .cnt documents that use a store field called rr-send
and rr-recv to populate the desired sub-elements.  However, in my
documentation (quoted below) showing the store fields that correspond to
elements the rr-send and rr-recv do not appear.  Could anyone tell me
where in the Operation Center I would go to set this up so during
translation the rr-send and rr-recv store fields are used?
Thanks
Mary

Outbound Store Fields
____________________________________________________________________________________________________________



Below is a list of the store fields that are automatically generated
during outbound translation tied to the Ops Center Screens and the X12 /
EDIFACT standard elements they equate to:

Store Fields Created From Ops Center:

Interchange Screen

Screen Field Name               Store Field Name
EDIFACT Element
Trading Partner Qualifier       Intchg-rec-id-q                      UNB
3:2
Trading Partner Identifier       Intchg-rec-id
UNB 3:1
Internal Qualifier
Intchg-snd-id-q                     UNB 2:2
Internal Identifier
Intchg-snd-id                         UNB 2:1
Authorization Qualifier           Intchg-auth-q
Authorization Identifier          Intchg-auth
Security Qualifier                  Intchg-sec-pass-id
Security Identifier                  Intchg-sec-pass
Standards ID                        ISA-stds-id
Version                                ISA-vers
Interchange Ack                   Request Intchg-ack-req        UNB 9:1
Sub-element                         Intchg-sub-sep

begin:vcard
n:Scanlan;Mary
tel;fax:847 473-1373
tel;work:847 473-1957
x-mozilla-html:FALSE
org:JST Corporation
adr:;;1957 S. Lakeside Drive;Waukegan;Illinois;60085;USA
version:2.1
email;internet:[EMAIL PROTECTED]
title:EDI Programmer
fn:Mary Scanlan
end:vcard

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