Define Consolidation Balance Set OLAP Cube Configuration

Explanation

This activity is used to assign balance set IDs to predefined OLAP Cube Measure Names. These are the types of measures that can be used:

This configuration is used in Consolidation OLAP Cubes.

Prerequisites

In order to perform this activity,

System Effects

N/A

Window

Consolidation Balance Set OLAP Cube Configuration

Related Window Descriptions

Consolidation Balance Set OLAP Cube Configuration

Procedure

Use the following Procedure to define Consolidation Balance Set Period Configuration.

  1. Open Consolidation Balance Set OLAP Cube Configuration window and query for the measure group name.
  2. Select the required Balance Set ID, from the List of Values. Note that all the Balance Set IDs in all companies will be displayed.
  3. Save the record.