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- Log into your Print Audit Facilities Manager
- Navigate to Reporting > Data Exports
- Select the Device Inventory (XML) report template and proceed to next step
- Configure any grouping/filtering as required and proceed to next step
- Enter any report title and proceed to next step
- Select Schedule this report for future delivery and set a schedule
- Select Web Service for "Delivery Via"
Set up the URL as https://SUBDOMAIN.readysell.com.au:8205/PlainServiceEndpoint/ReceivePrintAuditMessagenet/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".
- Click Generate Report
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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
- In Readysell, navigate to Administration > Meter Types
- For the mono and colour meter types, set the "MPS Meter Name" to "LifeCountMono" or "LifeCountColor" respectively
- Navigate to Relationships > Cards
- For any card that you wish to integrate:
- Go to the Settings > Customer Settings > Web Integration
- Set the "MPS Account ID" to match the Print Audit Customer ID (visible in the URL, e.g. EditCustomer.aspx?id=79)
- Navigate to Service > Machines
- For any machine that you wish to integrate:
- Set the serial number to match the serial number in Print Audit
- Set the model on the associated product to match that in Print Audit
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