Integrating with financial systems
Sterling Selling and Fulfillment Foundation enables you to integrate with financial systems.
- Requirements for financial system integration
To use the data captured using the Sterling Selling and Fulfillment Foundation Inventory Cost Management feature with your financial system, you must load the initial inventory cost data and configure process-specific events. - Load initial inventory cost data
Sterling Selling and Fulfillment Foundation provides an API to load the initial inventory value of an item at a ship node for a given quantity. The loadInventoryNodeCost API supports multiple items to be given in the input with inventory cost data for each ship node under that. - Configuring process-specific events
In order to interface with your financial system and use the Sterling Selling and Fulfillment Foundation Inventory Costing data, you must configure the applicable events for the processes described in this section.