Hitachi

JP1 Version 12 JP1/IT Desktop Management 2 - Asset Console Configuration and Administration Guide


16.11.1 Creating export conditions

To output asset information in the asset management database in CSV format, create export conditions by specifying the items and type of information to be output.

To create export conditions:

  1. Click the Pattern button.

    The Select Category dialog box is displayed.

  2. Use Category to select the type of information you wish to export.

    For details about the types of information that can be selected, see 16.10.2(1) Selecting the asset type.

  3. Click the OK button.

    The Export window switches to a window for creating conditions.

  4. Select Data type.

    Select whether information managed by a code is to be output by the display name or by the code.

    If you select a customized asset type, skip to step 7.

  5. From Enable items to export, select the items to be output, and then click the Export button.

    The selected items are added to Export items.

  6. Use the Up and Down buttons to set the sequence of Export items.

    Set the order for output to the CSV file.

  7. Click the OK button.

    The Save Conditions dialog box is displayed.

    To cancel, click the Close button.

  8. Specify any name, and then click the OK button.

    The export conditions are saved under the specified name.

The following figure shows the window for creating export conditions when Device information is selected as the Category.

Figure 16‒33: Export window (for creating conditions)

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