Financial Balances Intermediate Processes
After importing the input fields and augmenting them with the data from their lookup objects, the Financial Analytics dataflow filters out non-relevant or repeated records.
You can use the dataflow editor in Analytics Studio to visualize the Financial Analytics dataflow and its nodes. Alternatively, you can download the dataflow definition file which is a JSON file representing the dataflow and its logic. For more information on the dataflow editor and the dataflow definition file, see Configure the Dataflow in the Salesforce Help.
Filters
These are the main filter nodes in the Financial Balances flow.
Filter Node |
Description |
---|---|
ReportingBalance_Type_FILTER | Filters out reporting balance records where the "Type" is any other than "Actual". |
RepBalanceTLI_GLAType_FILTER | Filters the GLA Type for any values selected in the configuration wizard Questions 4, 5, and 6. |
Tag_DimNameBudgetApp_FILTER | Filter fields coming from the budget dimension and excludes totals. |
Tag_DimNameBudgetAppAmount_FILTER | Filter fields coming from budget amount dimension and excludes totals. |
Calculated Fields
These are the fields calculated by the Financial Balances flow.
Field API Name |
Description |
---|---|
{{measure_field}} (s) The fields used are the following: Home Value, Dual Value, Home Dr Value, Home Cr Value, Dual Dr Value, Dual Cr Value, Document Outstanding Value, Dual Outstanding Value, Home Outstanding Value |
Inverts the value sign +/- for the corresponding measure. |
AccountPayableReceivableType | Classifies accounts according to vendor and provider types. |
CashEntryType |
Calculates the type of a cash entry as follows:
|
CashFlowAdjustments | Populates the Cash Flow Adjustments values. |
CashFlowCategory | Populates the Cash Flow Category values. |
CashFlowLineSummary | Populates the Cash Flow Line Summary values. |
CustomAnyOutstanding | Calculates outstanding values for transactions. |
DueDate | Calculates the due date for transactions. |
GLATypesCode | Identifies the GLA Type for any values selected in the configuration wizard Questions 4, 5, and 6. |
IntersectDefinition | When Full Accounting Code is false this is the Intersection Definition Name, or else this value is the Full Accounting Code. |
PeriodNameDate | Populates the Period Name value. |
PeriodNumberAndSpecialPeriods | Calculates the period number and takes into account special periods if available. |
PeriodYearPeriodDisplay | Calculates the Period Year displayed by the dashboards. |
QuarterAndSpecialPeriods | Calculates the quarter and takes into account special periods if available. |
SourceDocument |
Depending on the type of source record, set to:
|
SourceDocumentId |
Depending on the type of source record, set to:
|
TaxCode{{N}}ReportingCodeIsPayable | Populates the tax code values for accounts payable. |
TaxCode{{N}}ReportingCodeIsReceivable | Populates the tax code values for accounts receivable. |
TB1 Order | Classifies the Trial Balance 1 values. |
TB2 Order | Classifies the Trial Balance 2 values. |
TB3 Order | Classifies the Trial Balance 3 values. |
TB4 Order | Classifies the Trial Balance 4 values. |
TransactionDocumentID |
Identifies the transaction documents in the flow. |
TransactionDocumentNumber |
When the source record is a Planning tag, this is only populated if all of the following are true:
|
ValueDualCredits | Populates the Debits/Credits values. |
ValueDualDebits | |
ValueHomeCredits | |
ValueHomeDebits |