Maintaining Custom Transactions
Custom transactions that are to be executed through the Odyssey Translation Bridge are maintained through the Integrations Setup section of the Administration page.
To maintain custom transactions:
1. Click Administration from the navigation menu. Click Translation Bridge in the Integrations Setup section, and then click Custom Transaction.
2. Select one of the following methods:
•  Click Image to create a code, and enter a code word.
•  Click an existing code to modify.
3. Complete the custom transaction code fields displayed.
4. Click Save (ALT+S).