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  1. Log into your Print Audit Facilities Manager
  2. Navigate to Reporting > Data Exports
  3. Select the Device Inventory (XML) report template and proceed to next step
  4. Configure any grouping/filtering as required and proceed to next step
  5. Enter any report title and proceed to next step
  6. Select Schedule this report for future delivery and set a schedule
  7. Select Web Service for "Delivery Via"
  8. Set up the URL as is the CUSTOMER-CODE - available in the Administration>Advanced>System Types https://SUBDOMAIN.readysell.com.au:8205/PlainServiceEndpoint/ReceivePrintAuditMessage (where SUBDOMAIN net/api/printAudit/accept

    Note

    SUBDOMAIN in the URL above is the "CUSTOMER-CODE" system reference under the "LICENCING" system type. Navigate to Administration > Advanced > System Types, then select "LICENSING"

    system type)

    .


  9. Click Generate Report



Info
titleNote

The Asset Number on the Machine with Print Audit needs to match up to the Machines ID to allow the counts to be applied to the machine within Readysell.  

Configuring Readysell

  1. In Readysell, navigate to Administration > Meter Types
  2. For the mono and colour meter types, set the "MPS Meter Name" to "LifeCountMono" or "LifeCountColor" respectively
  3. Navigate to RelationshipsCards
  4. For any card that you wish to integrate:
    1. Go to the Settings > Customer Settings > Web Integration
    2. Set the "MPS Account ID" to match the Print Audit Customer ID (visible in the URL, e.g. EditCustomer.aspx?id=79)
  5. Navigate to Service > Machines
  6. For any machine that you wish to integrate:
    1. Set the serial number to match the serial number in Print Audit
    2. Set the model on the associated product to match that in Print Audit

See also