Class and Description |
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OrganizationReversionCategoryLogic
An interface that represents the logic of a category associated with the Organization Reversion Process
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Class and Description |
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OrganizationReversionCategoryLogic
An interface that represents the logic of a category associated with the Organization Reversion Process
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Class and Description |
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BalancingService
Interface for BalancingService
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CollectorHelperService
Provides methods for processing gl incoming batch files.
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CollectorReportService
Services to help the Collector report
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CollectorService
An interface that declares the service needed to run the Collector
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EnterpriseFeederService
The enterprise feeder is a component that feeds in origin entries from an external data source
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OrganizationReversionProcessService
An interface declaring the methods needed to run the organization reversion process
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PosterService
An interface of methods to run the Poster
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SufficientFundsAccountUpdateService
An interface declaring a method that runs the sufficient funds rebuilder process.
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SufficientFundsFullRebuildService
An interface declaring methods needed to run the sufficient funds sync service.
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YearEndService
An interface declaring the methods that steps running year end services would need to use to close out activity of an ending
fiscal year (though, note: OrganizationReversion, the other year end job, is not defined here).
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Class and Description |
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BalancePredicate
This class represents business logic, specifically to decide whether a balance should be selected by a FilteringBalanceIterator
or not.
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Class and Description |
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AccountBalanceCalculator
This interface declares the methods needed to update an account balance, based on a transaction.
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AccountingCycleCachingService |
BalanceCalculator
This interface declares methods needed for posting transactions to the appropriate balance records.
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BalancePredicate
This class represents business logic, specifically to decide whether a balance should be selected by a FilteringBalanceIterator
or not.
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BalancingService
Interface for BalancingService
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BatchFileService
An interface declaring methods needed by the all files for batch gl processes
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BatchSortService |
CollectorHelperService
Provides methods for processing gl incoming batch files.
|
CollectorReportService
Services to help the Collector report
|
CollectorScrubberService
An interface declaring the methods needed to scrub Collector data
|
CollectorService
An interface that declares the service needed to run the Collector
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EncumbranceCalculator
An interface which declares the methods needed to post a transaction against an encumbrance
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EncumbranceClosingOriginEntryGenerationService
Service which generates encumbrance closing origin entries
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EnterpriseFeederNotificationService
A service that is used to provide notification about the status of an enterprise feed.
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EnterpriseFeederService
The enterprise feeder is a component that feeds in origin entries from an external data source
|
FileEnterpriseFeederHelperService
Implementations of this interface are responsible for reconciliation of origin entry data in a file and loading them into the
origin entry table.
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FilteringBalanceIterator
An extension of the Iterator interface that allows for balances to be selected or not
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IndirectCostRecoveryService
An interface with a predicate that tells if a transaction with the given fields would be an ICR transaction or not
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OrganizationReversionCategoryLogic
An interface that represents the logic of a category associated with the Organization Reversion Process
|
OrganizationReversionProcess |
OrganizationReversionProcessService
An interface declaring the methods needed to run the organization reversion process
|
OrganizationReversionUnitOfWorkService
These services have to do with database interactions with an "Org Reversion Unit of Work" - which is basically a
Chart-Account-SubAccount that will be/has been reverted during the year end organization reversion process, which is the great
vacuum that sucks the contents out of accounts.
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PosterService
An interface of methods to run the Poster
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PostTransaction
An interface that delcares the methods that the Poster needs to post a transaction.
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ReconciliationParserService
This class parses a reconciliation file
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ReconciliationService
An object to reconcile origin entries.
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RunDateService
Sometimes it is necessary to rerun a GL process on the following day if the previous night's GL batch processes failed.
|
ScrubberProcess |
SufficientFundsAccountUpdateService
An interface declaring a method that runs the sufficient funds rebuilder process.
|
SufficientFundsFullRebuildService
An interface declaring methods needed to run the sufficient funds sync service.
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VerifyTransaction
An interface declaring methods needed by the Poster to ascertain if a transaction is suitable for posting
|
YearEndService
An interface declaring the methods that steps running year end services would need to use to close out activity of an ending
fiscal year (though, note: OrganizationReversion, the other year end job, is not defined here).
|
Class and Description |
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AccountBalanceCalculator
This interface declares the methods needed to update an account balance, based on a transaction.
|
BalanceCalculator
This interface declares methods needed for posting transactions to the appropriate balance records.
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EncumbranceCalculator
An interface which declares the methods needed to post a transaction against an encumbrance
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Class and Description |
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AccountingCycleCachingService |
Class and Description |
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AccountingCycleCachingService |
ScrubberProcess |
Class and Description |
---|
RunDateService
Sometimes it is necessary to rerun a GL process on the following day if the previous night's GL batch processes failed.
|
Class and Description |
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AccountBalanceCalculator
This interface declares the methods needed to update an account balance, based on a transaction.
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