Oracle Financials Cloud  ETL Source

See the Connector Marketplace topic. Please request your administrator to start a trial or subscribe to the Premium Oracle Financials Cloud  connector.

In Gathr, it can be added as a channel to help in fetching customers’ and prospects’ data and transform it as needed before storing it in a desired data warehouse to run further analytics.


Schema Type

See the topic Provide Schema for ETL Source → to know how schema details can be provided for data sources.

After providing schema type details, the next step is to configure the data source.


Data Source Configuration

Configure the data source parameters as explained below.

Connection Name

Connections are the service identifiers. A connection name can be selected from the list if you have created and saved connection details for Oracle Financials Cloud  earlier. Or create one as explained in the topic - Oracle Financials Cloud  Connection →

Use the Test Connection option to ensure that the connection with the Oracle Financials Cloud  channel is established successfully.

A success message states that the connection is available. In case of any error in test connection, edit the connection to resolve the issue before proceeding further.


Entity

Tables in Oracle Financials Cloud  are statically defined to model Oracle Financials Cloud  entities.

If you selected the Fetch From Source method to design the application, the Entities will list as per the configured connection. Select the entity to be read from Oracle Financials Cloud .

If you selected the Upload Data File method to design the application, the exact name of the entity should be provided to read the data from Oracle Financials Cloud .


If you selected the Fetch From Source method to design the application, the Fields would list as per the Entity chosen in the previous configuration parameter. Select the fields or provide a custom query to read the desired records from Oracle Financials Cloud .

Fields

The conditions to fetch source data from a Oracle Financials Cloud  table can be specified using this option.

Select Fields: Select the column(s) of the entity that should be read.

Custom Query: Provide an SQL query specifying the read conditions for the source data.

Example: SELECT "Id" FROM Companies


If you selected the Upload Data File method to design the application, provide a custom query to fetch records from the Oracle Financials Cloud  entity specified in the previous configuration.

Query

The conditions to fetch source data from a Oracle Financials Cloud  table can be specified using this option.

Provide an SQL query specifying the read conditions for the source data.

Example: SELECT "Id" FROM Companies


Partitioning

This section contains partitioning-related configuration parameters.

Enable Partitioning

This enables parallel reading of the data from the entity.

Partitioning is disabled by default.

If enabled, an additional option will appear to configure the partitioning conditions.

Column

The selected column will be used to partition the data.

Max Rows per Partition: Enter the maximum number of rows to be read in a single request.

Example: 10,000

It implies that a maximum number of 10,000 rows can be read in one partition.


Advanced Configuration

This section contains additional configuration parameters.

Fetch Size

The number of rows to be fetched per round trip. The default value is 1000.


Include Custom Child Objects

Property to include Custom Child Objects.


Include Custom Objects

Property to include Custom Objects.


Add Configuration: Additional properties can be added using this option as key-value pairs.


Detect Schema

Check the populated schema details. For more details, see Schema Preview →


Pre Action

To understand how to provide SQL queries or Stored Procedures that will be executed during pipeline run, see Pre-Actions →.


Notes

Optionally, enter notes in the Notes → tab and save the configuration.

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