Financial Transactions - Intelligence Input Fields
This dataset uses the following as input data:
- Financial Matching dataset
- Financial Transactions dataset
- Prediction definition
- Accounting Company object
- Accounting Accounting Currency object
- Accounting Bank Account object
- Accounting Bank Reconciliation object
For more information about all the input fields available in the Financial Transactions dataset, see Financial Transactions Flow Input Fields.
Accounting Company
The Intelligence Analytics recipe imports the Accounting Accounting Company object.
Field Label |
Field API Name |
Description |
---|---|---|
Company | c2g__OwnerCompany__c | We use this field to populate the Company ID field in the resulting dataset. |
Accounting Currency
The Intelligence Analytics recipe imports the Accounting Accounting Currency object.
Field Label |
Field API Name |
Description |
---|---|---|
Bank Account Currency Name | c2g__BankAccountCurrency__c | We use this field to populate the Bank Account Currency Name field in the resulting dataset. |
Bank Account
The Intelligence Analytics recipe imports the Accounting Bank Account object.
Field Label |
Field API Name |
Description |
---|---|---|
Bank Account Name | BankAccount.Name | We use this field to populate the Bank Account Name field in the resulting dataset. |
Bank Reconciliation
Field Label |
Field API Name |
Description |
---|---|---|
Bank Account | c2g__BankAccount_c | We use this field to link the bank reconciliation to the related bank account. We also use this field to populate the Bank Account Name in the resulting dataset. |
Bank Reconciliation Reference | Name | We use this field to populate the Bank Reconciliation Reference field in the resulting dataset. |
Closing Balance | c2g__ClosingBalance__c |
We use this field to populate the Bank Reconciliation Closing Balance field in the resulting dataset. |
Company | c2g__OwnerCompany__c | We use this field to populate the Company ID field in the resulting dataset. |
Opening Balance | c2g__OpeningBalance__c |
We use this field along with the Payments This Period/Quarter and Collections This Period/Quarter KPIs values to calculate the value of the Estimated Closing Balance KPI on the Summary chart of the Cash Flow Forecast - Intelligence dashboard. We also use this field to populate the Bank Reconciliation Opening Balance field in the resulting dataset. |
Reconciliation Status | c2g__ReconciliationStatus__c | We use this field to match only bank reconciliations with a status of "Complete". |
Statement Date | c2g__StatementDate__c | We use this field to populate the Bank Statement Date field in the resulting dataset. |