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In the Fields & Validations page you identify you can identify the price record, set up validations tests and define the release logic.

  1. In the Fields section, click on the select a Field select a Field from the drop-down list.
  2. Select a Source from the drop-down list.
  3. Select an Exchange from the drop-down list.
    This creates the records.
  4. In the Validations test section, select a Name from the drop-down list to identify the validation test.
  5. Seelct a
  6. Select the check box for each data strategy that you want to apply to the field groupSelect a Validation Type from the drop-down list.
  7. In the Error field, select either Error Code or Error Description from the drop-down list and then enter the corresponding code or description. 
  8. Click Define.

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    The Define button becomes an Update button once you have defined the validation. Click Update to edit the validation test logic.


  9. Repeat this process to set up additional validations.

  10. When you select a data strategy, it appears in the Data Strategies area.
  11. Click Save & Close.
     The system creates the new field group and adds a row for the field group in the Field Groups workspace.

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