Extend report XLSX export to activate DynaRanges on all sheets
When exporting reports to Excel from the ribbon (or via a macro), only the DynaRanges on the first sheet of the report will be activated / calculated. When using Batch XLSX Snapshot, however, all DynaRanges on all sheets will be calculated. Macro ...
The UI for components in an Integrator project (conencts, transforms etc.) offers all the various parameters and options of a component. Some of these are mandatory, while others are optional. However,t he UI currently doesn't show which of the fi...
In Edit Filter dialog, there should be a checkbox labeled "Subtotal" . If checked, underneath the selected elements the column values are subtotaled. The subtotal persists with the filter - but only if the rows remain unchanged. expanding/contract...
Please review the created User Access Management by some Consulting members and discuss which features should be added. Like ETL loads to upload the dimension rights, etc.
Copy files from folder group to folder group/drag and drop
Hi, I am missing a funktionality to get files from one folder group to another in Designer. Copy and paste only works within a folder group. Drag and drop would be even better :)
Ability to access the Status Monitor of the Integrator using dynaranges/views (so similar to just access a cube)
For a better overview of the run Integrator jobs, we would like to be able to access their status via dynaranges/views. At the moment, the only option we have is the feedback window which opens when an Integrator job is started via a button action...
As a power user of the Financial Consolidation model I want to proceed (or restart, see related idea)) multiple workflow steps at once so that I don't have to repeat this multiple times. This should be possible on any aggregated element above the ...
Provide an interface to the Integrated Financial Planning model
Provide an import interface (e.g. as an Integrator job) to import the separate financial statements of one or multiple legal entities from the Integrated Financial Planning model. The interface should map the monthly amounts to the required year-t...
Execute the Bring Balances Forward procedure for multiple reporting periods at once in the Finanical Consolidation model
Extend the bring balances forward procedure to populate the opening balances for multiple reporting periods of the same fiscal year from the same prior closing period with one execution.
Designed web reports for master data maintenance to the Finanical Consolidation model
Provide designed web reports to add, inspect, modify and remove master data items such as legal entities, scopes, accounts, transaction types, currencies, etc.