Configuring Reports
Follow these steps to configure the reports that you want to
use:
- In yourOracle NetSuiteaccount, on the top navigation, hover overCybersource Integration>SuiteApp Configuration. ClickSuiteApp Configuration.
- On the top navigation, hover overConfiguration>Reporting. ClickCreate Reporting Setup.
- Enter yourBusiness Centermerchant ID and the key ID and secret key that you generated from theBusiness Center.
- Check theConversion Detail Reportbox to move details of the Conversion Detail Report from theBusiness CentertoOracle NetSuite.
- Check theTest Modebox to run the integration in test mode. Clear theTest Modebox to run the integration in live mode.
- Click theReporting File Detailstab. The configuration for standard Payment Batch Detail Report and Transaction Request Report appear by default. They cannot be removed.
- Choose a report (Payment Batch Detail Report or Transaction Request Report).
- Enter the name of the custom report underNameand clickOK.
- Enter an end date for a custom one-time report like these examples. Keep the field blank for subscription reports.
Example 1: If your report start date is 2023-03-06 and the end date is 2023-03-09,
the Report End Date passed in the query is 2023-03-09.
Example 2: If your report runs from midnight to midnight on 2023-03-09, the Report
End Date passed in the query is 2023-03-10.