Overview
AutoAdjust can be used to create adjustment records from data in the database tables. Using configuration data, AutoAdjust determines the adjustments that are needed for each customer type. The AutoAdjust engine can be configured to create adjustments for duplicate bundles, rejected bundles, out of balance bundles, nonconforming transactions, and item amount differences. The AutoAdjust data is stored in a Db2® table for future extraction. A user exit can be used to update items and insert new items into the Transaction Server tables. The Transaction Server can be configured to send requests for adjustments to the AutoAdjust engine by using the JMS message protocol at user-defined places in your workflow.
A browser based Control Center allows administrators and users to access the product without special client software. Preferences for time zones, dates, and language are configurable, which enables users to reside in multiple locations. Control Center features are provided for typical user and product administration. The typical user views the summary and details of adjustments, by partner, that were made for each business day. Administrators can set up users, grant permissions, configure runtime properties, and manually run adjustments for selected batches (ICLs).
To help manage its configuration data, AutoAdjust provides sample configuration data worksheets that are used by the data setup utility (DSU). Business and configuration data can be imported into the database without having to go through multiple user interface pages to provide it manually. For more information about the data setup utility, see Installation.