Workday Financials Steps
Workflow steps that read from and write to Workday Financials over your Workday Financials connection. The import step pulls a customer-supplied Report-as-a-Service (RaaS) report; the post step posts accounting journals through PlaidCloud’s shared ERP write pipeline.
- Import Workday Entity — pull a RaaS report, with report-parameter filters.
- Workday Financials: Post Journal Entry — post accounting journals via
Submit_Accounting_Journal, with a posted reversing entry for corrections.