2 | Feedback from Lisa Spagnolo’s funds & ledgers testing video | | | | External ID field in each fund could be used for the chartstring for each campus – possibly how Alma can connect to Oracle Is there a max number of funds you can use on a single order? CDL might need multiple funds for various chartstrings Comparing the Intake ledger to the Coinvest (expend) ledger to balance out at the end of the year - how would this be done exactly? Look into how we’d run reports on each ledger (Analytics)? Adjust allocations to funds, etc. How to create reports for campuses detailing what was spent & how much is left - data coming from two different ledgers
What information from orders/invoices can campuses see? None? Where would we store some of this information in a way campuses can see? What note fields are best suited for this information? Would have to make reporting in Analytics to show campuses. Create Analytics reports on monthly basis – or a dashboard? A way to pull the information in a way that we can show it to campuses
Familiarity is needed for POLs, Invoices, etc to be able to recreate some of these Analytics reports while we create funds & ledgers. If we move data around, how does that impact the reports? Hard to test on Sandbox which is not tied to Analytics. (& Sandbox refresh on Aug 14th!) A POL could have funds from two ledgers (Coinvest expend + CDL expend ledgers) - you get notified if using mutli ledgers Labs & CSU would be was represented in Intake ledger + Coinvest Expend ledger in mock-up. Livermore would be treated separately (CSU as well?) - Needs clarification. Possibility of only including Berkeley lab in intake and expend, but Livermore and CSU only in expend. Who else at CDL or SD is involved with CDL Acq work that we might want to consult with to discuss funds/ledgers set up? any business office / financial folks at SD?
| Next week’s meetings (Aug 2-3) – meet as subgroups to continue the conversation – anyone can join these even if not officially on the subgroup Vendor subgroup Ledgers Inventory
| Lisa S will save her video file & add to our team Google Drive - DONE. Lisa S will do a write up of the 3 ledger model Ask Gem about investigating deleting funds/ledgers in production (if active/inactive/or draft mode) so that we can test with Analytics Look at P&P file & start to think about how it would map in to POLs, invoices, note fields, reporting, etc (Discuss more at ledgers meeting next week)
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4 | Parking Lot / Overflow | | | | Come back by Labor Day with more info around the outstanding questions. Best Practice: How long to wait for collection to show in CZ vs creating local record? Inventory subteam will look and probably send to Eres for further discussion. Vanderbilt integrated with Oracle and did a presentation on it. Status Report Upcoming Dates July 27 - plan to meet as individual groups August 2-3 - subgroups may meet individually For reference: Out of Office/Vacation Schedule | | |