Package org.kuali.kfs.gl.batch.service

Interface Summary
AccountBalanceCalculator This interface declares the methods needed to update an account balance, based on a transaction.
AccountingCycleCachingService  
BalanceCalculator This interface declares methods needed for posting transactions to the appropriate balance records.
BalancePredicate This class represents business logic, specifically to decide whether a balance should be selected by a FilteringBalanceIterator or not.
BalancingService Interface for BalancingService
BatchFileService An interface declaring methods needed by the all files for batch gl processes
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
EncumbranceCalculator An interface which declares the methods needed to post a transaction against an encumbrance
EncumbranceClosingOriginEntryGenerationService Service which generates encumbrance closing origin entries
EnterpriseFeederNotificationService A service that is used to provide notification about the status of an enterprise feed.
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.
FilteringBalanceIterator An extension of the Iterator interface that allows for balances to be selected or not
IndirectCostRecoveryService An interface with a predicate that tells if a transaction with the given fields would be an ICR transaction or not
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.
PosterService An interface of methods to run the Poster
PostTransaction An interface that delcares the methods that the Poster needs to post a transaction.
ReconciliationParserService This class parses a reconciliation file
ReconciliationService An object to reconcile origin entries.
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.
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).
 

Exception Summary
CollectorLoadException An exception that occurs during the loading and parsing of a Collector file
 



Copyright © 2005-2012 The Kuali Foundation. All Rights Reserved.