Configuration

Configuring Providers

Look in Administration → Acquisitions Administration → Providers

Column Description/Notes

Provider Name

A unique name to identify the provider

Code

A unique code to identify the provider

Owner

The org unit who will "own" the provider.

Currency

The currency format the provider accepts

Active

Whether or not the Provider is "active" for use

Default Claim Policy

??

EDI Default

The default "EDI Account" to use (see EDI Accounts Configuration)

Email

The email address for the provider

Fax Phone

A fax number for the provider

Holdings Tag

The holdings tag to be utilized (usually 852, for Evergreen)

Phone

A phone number for the provider

Prepayment Required

Whether or not prepayment is required

SAN

The vendor provided, org unit specific SAN code

URL

The vendor website

Configuring EDI Accounts

Look in Administration → Acquisitions Administration → EDI Accounts

Column Description/Notes

Label

A unique name to identify the provider

Host

FTP/SFTP/SSH hostname - vendor assigned

Username

FTP/SFTP/SSH username - vendor assigned

Password

FTP/SFTP/SSH password - vendor assigned

Account

Vendor assigned account number associated with your organization

Owner

The organizational unit who owns the EDI account

Last Activity

The date of last activity for the account

Provider

This is a link to one of the "codes" in the "Providers" interface

Path

The path on the vendor’s server where Evergreen will send it’s outgoing .epo files

Incoming Directory

The path on the vendor’s server where "incoming" .epo files are stored

Vendor Account Number

Vendor assigned account number.

Vendor Assigned Code

Usually a sub-account designation. Can be used with or without the Vendor Account Number.

Configuring Organizational Unit SAN code

Look in Administration → Server Administration → Organizational Units

This interface allows a library to configure their SAN, alongside their address, phone, etc.