BalanceAAP > REACH Assignment
KEY TOPICS:
AboutIntegratingthebalanceAAPIntegrationwithBetweenREACH- Assign Location Codes by Plan
- Import Locations (recommended for a Master Plan)
BALANCEhub Help Cross-reference: For information on using REACH to determine Location Codes and store Good Faiths Efforts data, see: BALANCEhub REACH.
Set up the Connection Between balanceAAP and REACH Data
About REACH
REACH, a BALANCEhub component, serves as a repository for Good Faith Efforts (GFE) data. If you use REACH to store GFE data, this information can be included in your organization’s Regular Plan or Master Plan.Integrating balanceAAP with REACH
The REACH data set is mapped to the balanceAAP structure by accessing: Plan Information > REACH Assignment.
Cross-reference: For instructions on activating REACH integration for use in Narratives, see: Narrative Settings.
About the Integration between balanceAAP and REACH
Because REACH collects GFE data at the location or establishment level, however, locations must be mapped to the plan structure.
Note: Your System Administrator may have applied a custom label for the term “Location”. If so, when working in REACH Assignment, this custom label (e.g., Facility) will appear in the associated column header and BALANCEaap field name in place of “Location”.
Assign Locations by Plan
(Master Plan only) From the Plan drop-down, select a plan.(Single and Master Plans) Using the provided Location Code list, check off those locations that are associated with the displayed Plan Code. Click [Save].
(Master Plan only) Repeat the process, as necessary, for each plan.
Import Locations (recommended for a Master Plan)
To import the connections between Plan Codes and the REACH Location Codes, click the [Import] button (located in the lower toolbar). Choose the Import Source, and follow these instructions:- External File — Click [Next]. Follow the guided prompts to choose the File Type, [Browse] for and Upload the file, and perform field matching.
Note: The file must include fields for Plan Code and Location Codes that tie the two fields together.
- Existing balanceAAP plan — Choose the Company, Establishment, and Plan.
Click [Next]. Choose the Import Options: Overwrite (replace current list) or Append (add to current list). Select the [Import] button.
A Results message will display when the process is complete. If the Import Source is an External File, check off whether to: Keep my files for later use. The file name will display under the Upload menu, on the Currently Uploaded Files list.