COM-FSM

MIP Interface

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    Version as of 13:50, 18 Apr 2024

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    Accounting data for entries on student accounts is exported to MIP through an interface that considers each transaction code used in accounts receivable in terms of the MIP segment structure. The mapping from transaction code (combined with campus) to MIP segments is called the distribution. Account entries are grouped together according to the distribution, and journal vouchers are created that can be directly imported into MIP.

    Cashiering sessions are used to control the flow of data into MIP. Each session must be individually released after it has been closed and cleared. The MIP Interface form is used to perform both tasks, releasing sessions and generating the actual data export.


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