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  • BAI Import
  • Bank Reconciliation Settings


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Specific setup required to schedule BAI import

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  1. Bank Reconciliation Setting for Move BAI file on Import must be selected (Schedule Import option not available in the BAI Import program)
  2. BAI file must be saved to the server (files
  3. Create two unique directories (one for the Import file and one for Archive files) on the Munis ERP Application server
    1. OnPrem clients:
      1. On the Munis ERP Application server, navigate to <MUNDRV>\musys
      2. Create two new folders and name as desired 
        1. Ex: <MUNDRV>\musys\BAI_Import and <MUNDRV>\musys\BAI_Archive
      3. Place a copy of the BAI file in <MUNDRV>\musys\BAI_Import
        1. NOTE: Only one import file should exist in the import directory at a time
    2. SaaS clients:
      1. Contact TSM SaaS Support to have the directories created and to assist with placing a copy of the Import file in the appropriate location
      2. Files can be sent from the bank to the server using FTP with the assistance of TSM SaaS
  4. In the BAI Import program (
  5. Enable Move BAI file on Import in Bank Reconciliation Settings (Requires assistance from a Tyler employee such as your Implementation Consultant, Project Manager, or Munis Financial Support)
    1. Recommended to create two unique directories (one for Import file and one for Archived files) on the server. Only one import file should exist in the created import directory.
      1. Example: \\MUNISFILES\musys\BAI_Import and \\MUNISFILES\musys\BAI_Archive
    1. From the Munis ERP menu, navigate to Financials > Cash Management > Bank Reconciliation > Bank Reconciliation Settings

      1. Click Update
      2. You will need a Tyler Employee to enter the password for Munis Employee Password
        1. Please contact your Implementation Consultant, Project Manager, or Munis Financial Support for assistance
      3. Click OK
      4. Check Move bank file on import
      5. Click Accept
  6. From the Munis ERP menu, navigate to Financials > Cash Management > Bank Reconciliation > BAI Import
  7. ), select
    1. Click Define
    2. Change Schedule Import to At a scheduled time
    3. Enter Import Path and Archive Path (from the server steps above)
    4. Select options below (if applicable):
      1. Import ZBA transactions
      2. Create ZBA transfer journals
      3. Match checks during import
      4. Match deposits during import
    5. Click Accept
  8. Munis Scheduler screen should open. Update Description if necessary.
    1. Recur
    2. Populate recurrence settings (run Daily, weekly, monthly etc.)
    3. Ok
    4. If necessary, select Notify to change users that are notified when job is started, completed, and/or expires
    5. If necessary, select Output to change where the BAI Import report is printed or saved
    6. Ok
    7. Ok (to confirm the setup of the job - this will provide the job number)
  9. To confirm the job is scheduled to run,
go to (
  1. navigate to System Administration > Scheduler Administration > Scheduler Queue
).
  1.  
    1. Look for the job number listed on the Queue tab
.


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If scheduler shows any status other than Online, contact TSM Support (On-Prem clients) or TSM SaaS Support (Hosted clients) for further assistance.

See also: BAI Import Scheduled Job Fail Error Message - Client File does not exist

Schedule Import option not available in the BAI Import program