Accessing Reconciliation Reports
This topic explains how to access the Reconciliation reports through SAP Fiori and SAP Analysis for Microsoft Office.
Important: With version 8.0, you can access the reconciliation dashboard and reports through the SourceConnect Management Console. For detailed instructions, please refer to the Use Reconciliation Dashboard and Reports section in the SAP Central Finance Transaction Replication by insightsoftware Installer and Management Console Guide. You can also access these reports via SAP Fiori, as explained in this topic.
Prerequisites
Make sure that the following prerequisites are complete:
- SAP Fiori launchpad or SAP Analysis for Microsoft Office is installed.
- The SAP GUI user credentials are available to access SAP Fiori or SAP Analysis for Microsoft Office.
- The users are assigned to the following roles:
-
SAP_BR_EMPLOYEE: The SAP GUI user is assigned to this role and has access to Query Browser in SAP Fiori. -
/MAGSW/RECON_APF: The users who require access to the Reconciliation reports are assigned to this role. -
/MAGSW/RECON_OVP: The users who require access to the insightsoftware Reconciliation dashboard are assigned to this role.
-
- A connection is set up in SAP GUI to enable SAP GUI users to access the reports through SAP Analysis for Microsoft Office.
- Transaction and Reconciliation data load are complete.
Reconciliation Framework
The following framework helps in reconciling the documents transferred from the source systems to SAP S/4HANA using the transaction replication process.
A brief explanation of the levels depicted in the framework diagram is as follows.
- Level-0: Refers to the initial level of reconciliation in which the raw source business documents are compared with the final Central Finance results.
- Level-1: Refers to the first level of reconciliation in which the data from the source systems is loaded into the Stage 1 tables. For the Flat File data sources, the documents are provided in a flat file. For the remaining sources, the documents are available in the source system.
- Level-2: Refers to the second level of reconciliation in which the Stage 1 table data is compared with the data in the Stage 2 tables.
- Level-3: Refers to the third level of reconciliation in which the data in the Stage 2 tables or SLT Mirror tables is compared with the SLT table data,
-
Level-4: Refers to the fourth level of reconciliation in which the SLT table data is compared with the
CFIN (BKPF/ACDOCA)data in SAP S/4HANA.
-
Level-5: Refers to the fifth level of reconciliation in which the Stage 1 table data is compared with the
CFIN (BKPF/ACDOCA)data in SAP S/4HANA.
Note: A document is considered for reconciliation, only on reaching the SOURCE_DOC_INFO table. If it does not reach this table, it is not displayed as a part of the SAP Central Finance Transaction Replication by insightsoftware for SAP S/4HANA Reconciliation reports.
After installing the Reconciliation reports, you can access them through SAP Fiori or SAP Analysis for Microsoft Office add-in.
How to Access Reconciliation Reports through SAP FIORI
Perform the following tasks to access the reports through SAP Fiori.
- Log on to SAP Fiori with your SAP GUI user credentials. The SAP Fiori launchpad displays the home page with tiles pertaining to your role.
- On the menu, locate and select the insightsoftware Transaction Reconciliation Reports group. All the reports tiles pertaining to insightsoftware Transaction Reconciliation Reports appear.
- Select the Reconciliation report that you want to view.
Note: When you select a reconciliation report tile, ensure it opens in a new tab, which is the default behavior. If it does not open in a new tab, use the T-code /n/UI2/FLP_CUS_CONF and set the system parameter NAVIGATION_WDA_INPLACE to false.
- Or, on the menu, locate and select the Query Browser group. The Query Browser tile appears.
- Select Query Browser. The Query Browser > Analytical Queries page displays the list of available reports.
- Select one of the following Reconciliation reports:
/MAGSW/C_RECON_LV1/MAGSW/C_RECON_LV2_DET/MAGSW/C_RECON_LV2_SUM/MAGSW/C_RECON_LV3_DET/MAGSW/C_RECON_LV3_SUM/MAGSW/C_RECON_LV4/MAGSW/C_RECON_LV5_DET/MAGSW/C_RECON_LV5_SUM/MAGSW/C_RECON_GL_BAL/MAGSW/C_RECON_EXP
- Select Open for Analysis. The list of prompts, if available, is displayed.
- Select the required prompts, and select OK.
- The report shows the data with the list of measures and attributes under DIMENSIONS. If you cannot see the measures or attributes, click Pause and then Refresh.
- Optionally, drag the required attributes to ROWS or COLUMNS. By default, all of the measures are included in the report. The report displays the data with the added rows and columns.
- Save a copy of the report. You cannot modify the out-of-the-box reports.
Note: The GUI options may vary depending on the SAP Fiori version in your instance.
A sample report is as follows. A field with the value # in the report indicates that the data for the corresponding field is missing or unavailable. All fields in the report containing values with the prefix "#" indicate that the document itself is missing in the stage.
Note: By default, the report is displayed in the Standard view containing the out-of-the-box fields. You can use the Standard view as a starting point to build reports based on your requirements.
How to Access Reports through SAP Analysis for Microsoft Office
Perform the following tasks to access the reports through SAP Analysis for Microsoft Office.
- In Microsoft Excel, go to the Analysis tab.
- Select Insert Data Source > Select Data Source for Analysis. The Select Data Source window appears.
- Select the SAP GUI connection that you have set up. A dialog box appears prompting you to specify the logon credentials.
- Provide your SAP GUI credentials. The Select Data Source window is displayed again with the tabs.
- On the Area tab, expand insightsoftware. The following Reconciliation reports are displayed among other reports.
- insightsoftware Reconciliation Level - 0 Summary
- insightsoftware Reconciliation Level - 0 Detail
- insightsoftware Reconciliation Level - 1
- insightsoftware Reconciliation Level - 2 Detail
- insightsoftware Reconciliation Level - 2 Summary
- insightsoftware Reconciliation Level - 3 Detail
- insightsoftware Reconciliation Level - 3 Summary
- insightsoftware Reconciliation Level - 4
- insightsoftware Reconciliation Level - 5 Detail
- insightsoftware Reconciliation Level - 5 Summary
- GL Balance Report
- insightsoftware Reconciliation Exception View
- Expand the report that you want to view. The report name is displayed with the Query icon.
- Select the report, and select OK. The Prompts for <ReportName> window appears with the list of prompts, as applicable.
- Select the required prompts, and select OK.
- Under Analysis, the report shows the data with the list of measures and attributes under Data Source.
- Optionally, drag the required attributes to ROWS or COLUMNS. By default, all of the measures are included in the report. The report displays the data with the added rows and columns.
- Save a copy of the report. You cannot modify the out-of-the-box reports.
Transaction Reconciliation Reports
The reconciliation reports enable you to compare the changes to the transaction data through the stages of replication and transformation from your source system into SAP S/4HANA. The reports help you identify the stage containing incorrect or missing data that must be reconciled.
Note: SAP ERP Central Component (ECC) data is shown only in the GL Balance, ECC GL Balance Conversion, Reconciliation Level - 5 Summary, and Reconciliation Level - 5 Detail reports.
Attributes
Some of the key attributes of the reconciliation reports are as follows:
- Total amount in transaction and company code currency
- Total units
- Account group
- Currencies
- Transaction currency
- Company code currency
- Group currency (USD)
- Document header-level summary attributes
- Source system
- Company code
- Ledger
- Batch
- Document number
- Document type
- Unique ID
- Vendor
- Document date
- Document posted date
- Document line-level detail attributes
- GL account
- Transaction types
- Trading partners
- Material
- UOM
- Account group
- Cost center
- Customer
- Product tax code
- Profit center
- WBS (project)
The key measures and attributes specific to each level of reconciliation reports are as follows.
Level-0 Report
| Level-0 Report (Summary) | Level-0 Report (Detail) |
|---|---|
SOURCE_SYSTEM |
SOURCE_SYSTEM |
LOGICAL_SYSTEM |
LOGICAL_SYSTEM |
SOURCE_UNIQUE_ID |
SOURCE_UNIQUE_ID |
CFIN_UNIQUE_ID |
CFIN_UNIQUE_ID |
SOURCE_BATCH |
SOURCE_BATCH |
SOURCE_DOCUMENT_NUMBER |
SOURCE_DOCUMENT_NUMBER |
CFIN_DOC_NUMBER |
CFIN_DOCUMENT_NUMBER |
SOURCE_COMP_CODE |
SOURCE_COMP_CODE |
CFIN_COMP_CODE |
CFIN_COMP_CODE |
SOURCE_FISCAL_PERIOD |
SOURCE_FISCAL_PERIOD |
CFIN_FISCAL_PERIOD |
CFIN_FISCAL_PERIOD |
SOURCE_FISCAL_YEAR |
SOURCE_FISCAL_YEAR |
CFIN_FISCAL_YEAR |
CFIN_FISCAL_YEAR |
SOURCE_DOC_POSTED_DATE |
SOURCE_DOC_POSTED_DATE |
CFIN_DOC_POSTED_DATE |
CFIN_DOC_POSTED_DATE |
AMT_COMP_CURR_SOURCE |
SOURCE_PROFIT_CENTER |
AMT_COMP_CURR_CFIN |
CFIN_PROFITCENTER |
VARIANCE_COMP_CURR |
SOURCE_COSTCENTER |
AMT_DOCUMENT_CURR_SOURCE |
CFIN_COSTCENTER |
AMT_DOCUMENT_CURR_CFIN |
SOURCE_GL_ACCOUNT |
VARIANCE_DOC_CURR |
CFIN_GL_ACCOUNT |
SOURCE_DOC_CNT |
AMT_COMP_CURR_SOURCE |
STAGE_DOC_CNT |
AMT_COMP_CURR_CFIN |
CFIN_DOC_CNT |
VARIANCE_COMP_CURR |
MSC_LASTMODIFIED_DATE |
AMT_DOCUMENT_CURR_SOURCE |
PROCESSING_STATUS |
AMT_DOCUMENT_CURR_CFIN |
SOURCE_REFERENCE_1 |
VARIANCE_DOC_CURR |
SOURCE_REFERENCE_2 |
MSC_LASTMODIFIED_DATE |
SOURCE_REFERENCE_3 |
PROCESSING_STATUS |
SOURCE_REFERENCE_4 |
SOURCE_REFERENCE_1 |
SOURCE_REFERENCE_5 |
SOURCE_REFERENCE_2 |
SOURCE_REFERENCE_6 |
SOURCE_REFERENCE_3 |
SOURCE_REFERENCE_7 |
SOURCE_REFERENCE_4 |
SOURCE_REFERENCE_8 |
SOURCE_REFERENCE_5 |
SOURCE_REFERENCE_9 |
SOURCE_REFERENCE_6 |
SOURCE_REFERENCE_10 |
SOURCE_REFERENCE_7 |
SOURCE_REFERENCE_11 |
SOURCE_REFERENCE_8 |
SOURCE_REFERENCE_12 |
SOURCE_REFERENCE_9 |
SOURCE_REFERENCE_13 |
SOURCE_REFERENCE_10 |
SOURCE_REFERENCE_14 |
SOURCE_REFERENCE_11 |
SOURCE_REFERENCE_15 |
SOURCE_REFERENCE_12 |
SOURCE_REFERENCE_16 |
SOURCE_REFERENCE_13 |
SOURCE_REFERENCE_17 |
SOURCE_REFERENCE_14 |
SOURCE_REFERENCE_18 |
SOURCE_REFERENCE_15 |
SOURCE_REFERENCE_19 |
SOURCE_REFERENCE_16 |
SOURCE_REFERENCE_20 |
SOURCE_REFERENCE_17 |
SOURCE_REFERENCE_21 |
SOURCE_REFERENCE_18 |
SOURCE_REFERENCE_22 |
SOURCE_REFERENCE_19 |
SOURCE_REFERENCE_23 |
SOURCE_REFERENCE_20 |
SOURCE_REFERENCE_24 |
SOURCE_REFERENCE_21 |
SOURCE_REFERENCE_25 |
SOURCE_REFERENCE_22 |
SOURCE_REFERENCE_26 |
SOURCE_REFERENCE_23 |
SOURCE_REFERENCE_27 |
SOURCE_REFERENCE_24 |
SOURCE_REFERENCE_28 |
SOURCE_REFERENCE_25 |
SOURCE_REFERENCE_29 |
SOURCE_REFERENCE_26 |
SOURCE_REFERENCE_30 |
SOURCE_REFERENCE_27 |
TARGET_REFERENCE_1 |
SOURCE_REFERENCE_28 |
TARGET_REFERENCE_2 |
SOURCE_REFERENCE_29 |
TARGET_REFERENCE_3 |
SOURCE_REFERENCE_30 |
TARGET_REFERENCE_4 |
TARGET_REFERENCE_1 |
TARGET_REFERENCE_5 |
TARGET_REFERENCE_2 |
TARGET_REFERENCE_6 |
TARGET_REFERENCE_3 |
TARGET_REFERENCE_7 |
TARGET_REFERENCE_4 |
TARGET_REFERENCE_8 |
TARGET_REFERENCE_5 |
TARGET_REFERENCE_9 |
TARGET_REFERENCE_6 |
TARGET_REFERENCE_10 |
TARGET_REFERENCE_7 |
TARGET_REFERENCE_11 |
TARGET_REFERENCE_8 |
TARGET_REFERENCE_12 |
TARGET_REFERENCE_9 |
TARGET_REFERENCE_13 |
TARGET_REFERENCE_10 |
TARGET_REFERENCE_14 |
TARGET_REFERENCE_11 |
TARGET_REFERENCE_15 |
TARGET_REFERENCE_12 |
TARGET_REFERENCE_16 |
TARGET_REFERENCE_13 |
TARGET_REFERENCE_17 |
TARGET_REFERENCE_14 |
TARGET_REFERENCE_18 |
TARGET_REFERENCE_15 |
TARGET_REFERENCE_19 |
TARGET_REFERENCE_16 |
TARGET_REFERENCE_20 |
TARGET_REFERENCE_17 |
TARGET_REFERENCE_21 |
TARGET_REFERENCE_18 |
TARGET_REFERENCE_22 |
TARGET_REFERENCE_19 |
TARGET_REFERENCE_23 |
TARGET_REFERENCE_20 |
TARGET_REFERENCE_24 |
TARGET_REFERENCE_21 |
TARGET_REFERENCE_25 |
TARGET_REFERENCE_22 |
TARGET_REFERENCE_26 |
TARGET_REFERENCE_23 |
TARGET_REFERENCE_27 |
TARGET_REFERENCE_24 |
TARGET_REFERENCE_28 |
TARGET_REFERENCE_25 |
TARGET_REFERENCE_29 |
TARGET_REFERENCE_26 |
TARGET_REFERENCE_30 |
TARGET_REFERENCE_27 |
|
TARGET_REFERENCE_28 |
|
TARGET_REFERENCE_29 |
|
TARGET_REFERENCE_30 |
Level-1 Report
Measures
| Column | Business Description |
|---|---|
Source: Document Count |
The number of financial transactions in the source system. |
Stage: Document Count |
The number of financial transactions that have been replicated from the source system in the first stage. |
Document Count VARIANCE |
The difference between the number of financial transactions in the source system and the first stage of data replication. |
Source: Total Units |
The aggregate quantity of units recorded across all relevant transactions in the source system. |
Stage: Total Units |
The aggregate quantity of units replicated from the source system in the first stage. |
Total Units VARIANCE |
The difference between the aggregate quantity of units recorded in the source system and the first stage of data replication. |
Source: Total Company Amount |
The total amount of financial transactions specific to a particular company code in the source system. |
Stage: Total Company Amount |
The total amount of financial transactions specific to a particular company code in the first stage of replication. |
Total Company Amount VARIANCE |
The difference between the total company code-specific transaction values in the source system and the first stage of data replication. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
Location |
The physical or organizational location associated with financial transactions. |
Mapped SAP Company Code |
The SAP company code to which the source system’s company code is mapped. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Source: Company |
The originating company or business unit from which financial data is being extracted and integrated into the Central Finance system. |
Source: Document Batch |
A grouping or collection of related financial transactions (such as invoices, purchase orders, or journal entries) that are processed together during replication. |
Source: Document Batch Type |
The type or category of the document batch (e.g., sales, procurement, or general ledger) for organizational and reporting purposes. |
Source: Document Number |
Each financial transaction processed in the source system. |
Source: Document Posted Date |
The date on which a financial transaction was posted or recorded in the source system. |
Source: Fiscal Period |
The specific accounting period (e.g., month, quarter, or year) during which financial transactions occurred. |
Source: Fiscal Year |
The financial reporting year (e.g., 2024) to which the transactions belong. |
Source Ref 1-25 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 1-25 |
Custom reference fields in the target system used for additional information or categorization. |
Level-2 Report (Summary)
Measures
| Column | Business Description |
|---|---|
Stage 1: Company Amount |
The total amount of financial transactions specific to a particular company code in the first stage of data replication. |
Stage 2: Company Amount |
The total amount of financial transactions specific to a particular company code in the second stage of data replication. |
Company Amount Variance |
The difference between the company code-specific transaction values in the first and second stages of data replication. |
Stage 1: Document Amount |
The total amount of a financial transaction in the first stage of data replication. |
Stage 2: Document Amount |
The total amount of a financial transaction in the second stage of data replication. |
Document Amount Variance |
The difference between the transaction values in the first and second stages of data replication. |
Stage 1: Group Amount |
The aggregated financial value grouped by specific criteria (e.g., business units, cost centers) in the first stage of data replication. |
Stage 2: Group Amount |
The corresponding aggregated group amount in the second stage. |
Group Amount Variance |
The difference between group amounts in the first and second stages of data replication. |
Stage 1: Document Count |
The total number of financial transactions in the first stage of data replication. |
Stage 2: Document Count |
The total number of financial transactions in the second stage of data replication. |
Document Count Variance |
The difference between the number of financial transactions in the first and second stages of data replication. |
Stage 1: Total Units |
The aggregate quantity of units recorded across all relevant transactions in the first stage of replication. |
Stage 2: Total Units |
The aggregate quantity of units replicated from the first stage to the second stage. |
Total Units Variance |
The difference between the number of financial transactions in the first and second stages of data replication. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
Company Code |
The specific company code associated with financial transactions. |
Document Currency Code |
The currency in which the transaction is recorded. |
Document Split Indicator |
Indicator of a transaction being split for accounting purposes. |
Group Currency Code |
The currency used for group-level reporting. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which the data originates. |
Mapped SAP Company Code |
The SAP company code to which the source system’s company code is mapped. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Stage 1: Batch |
The batch number assigned during the first stage of data processing. |
Stage 1: Company Code |
The company code used in the first stage of data processing. |
Stage 1: Document Batch Type |
The type of document batch processed in the first stage. |
Stage 1: Document Date |
The date on which a financial transaction was created in the first stage. |
Stage 1: Document Number |
The unique identifier for the transaction in the first stage. |
Stage 1: Fiscal Period |
The fiscal period applicable during the first stage. |
Stage 1: Fiscal Year |
The fiscal year applicable during the first stage. |
Stage 1: Ledger Type |
The type of ledger used in the first stage of processing. |
Stage 1: MSC Interface Date |
The date the data was interfaced with the MSC in the first stage. |
Stage 1: Posted Date |
The date the transaction was posted in the first stage. |
Stage 1: Unique ID |
A unique identifier assigned to the transaction in the first stage. |
Stage 2: Company Code |
The company code used in the second stage of data processing. |
Stage 2: Document Date |
The date the transaction was created in the second stage. |
Stage 2: Fiscal Period |
The fiscal period applicable during the second stage. |
Stage 2: Fiscal Year |
The fiscal year applicable during the second stage. |
Stage 2: MSC Interface Date |
The date the data was interfaced with the MSC in the second stage. |
Stage 2: Posted Date |
The date the transaction was posted in the second stage. |
Stage 2: Unique ID |
A unique identifier assigned to the transaction in the second stage. |
Source Ref 1-25 |
Reference fields from the source system for additional details. |
Target Ref 1-25 |
Reference fields in the target system for additional details. |
Level-2 Report (Detail)
Measures
| Column | Business Description |
|---|---|
Stage-1: Quantity |
The quantity recorded during the first stage of data processing. |
Stage-2: Quantity |
The quantity recorded during the second stage of data processing. |
Quantity Variance |
The difference in quantity between the first and second stages. |
Stage-1: Company Amount |
The total amount of financial transactions specific to a particular company code in the first stage of data replication. |
Stage-2: Company Amount |
The total amount of financial transactions specific to a particular company code in the second stage of data replication. |
Company Amount Variance |
The difference between the company code-specific transaction values in the first and second stages of data replication. |
Stage-1: Document Amount |
The total amount of a financial transaction in the first stage of data replication. |
Stage-2: Document Amount |
The total amount of a financial transaction in the second stage of data replication. |
Document Amount Variance |
The difference between the transaction values in the first and second stages of data replication. |
Stage-1: Group Amount |
The aggregated financial value grouped by specific criteria (e.g., business units, cost centers) in the first stage of data replication. |
Stage-2: Group Amount |
The corresponding aggregated group amount in the second stage. |
Group Amount Variance |
The difference between group amounts in the first and second stages of data replication. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
Company Currency Code |
The currency used for financial transactions within a specific company code. |
Document Currency Code |
The currency in which the transaction is recorded. |
Group Currency Code |
The currency used for group-level reporting. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which the data originates. |
Mapped SAP Company Code |
The SAP company code to which the source system’s company code is mapped. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Stage-1: Batch |
The batch number assigned during the first stage of data processing. |
Stage-1: Business Activity |
The type of business activity associated with the financial transaction in the first stage. |
Stage-1: Business Unit |
The business unit responsible for the financial transaction in the first stage. |
Stage-1: Company Code |
The company code used in the first stage of data processing. |
Stage-1: Customer |
The customer associated with the financial transaction in the first stage. |
Stage-1: Document Batch Type |
The type of document batch processed in the first stage. |
Stage-1: Document Date |
The date on which a financial transaction was created in the first stage. |
Stage-1: Document Number |
The unique identifier for the transaction in the first stage. |
Stage-1: Document Type |
The type of financial transaction in the first stage. |
Stage-1: Due Date |
The date by which the payment is due in the first stage. |
Stage-1: Fiscal Period |
The fiscal period applicable during the first stage. |
Stage-1: Fiscal Year |
The fiscal year applicable during the first stage. |
Stage-1: Ledger Type |
The type of ledger used in the first stage of processing. |
Stage-1: MSC Interface Date |
The date the data was interfaced with the MSC in the first stage. |
Stage-1: Material Number |
The number identifying the material involved in the financial transaction in the first stage. |
Stage-1: Object Account |
The account associated with the financial transaction in the first stage. |
Stage-1: PRD Tax Code |
The tax code used for the financial transaction in the first stage. |
Stage-1: Posted Date |
The date the transaction was posted in the first stage. |
Stage-1: Product Code |
The code representing the product involved in the financial transaction in the first stage. |
Stage-1; Subsidiary |
The subsidiary company associated with the financial transaction in the first stage. |
Stage-1: Trading Partner ID |
The identifier for the trading partner involved in the financial transaction in the first stage. |
Stage-1: Transaction Type |
The type of transaction in the first stage. |
Stage-1: UOM Code |
The unit of measure code used for quantities in the first stage. |
Stage-1: Unique ID |
A unique identifier assigned to the transaction in the first stage. |
Stage-1: Vendor |
The vendor associated with the financial transaction in the first stage. |
Stage-1: WBS Element |
The work breakdown structure element associated with the financial transaction in the first stage. |
Stage-2: Business Activity |
The type of business activity associated with the financial transaction in the second stage. |
Stage-2: Company Code |
The company code used in the second stage of data processing. |
Stage-2: Cost Center |
The cost center responsible for the financial transaction in the second stage. |
Stage-2: Customer |
The customer associated with the financial transaction in the second stage. |
Stage-2: Document Type |
The type of financial transaction in the second stage. |
Stage-2: Due Date |
The date by which the payment is due in the second stage. |
Stage-2: Fiscal Period |
The fiscal period applicable during the second stage. |
Stage-2: Fiscal Year |
The fiscal year applicable during the second stage. |
Stage-2: GL Account |
The general ledger account used for the financial transaction in the second stage. |
Stage-2: MSC Interface Date |
The date the data was interfaced with the MSC in the second stage. |
Stage-2: Material Number |
The number identifying the material involved in the financial transaction in the second stage. |
Stage-2: PRD Tax Code |
The tax code used for the financial transaction in the second stage. |
Stage-2: Posted Date |
The date the transaction was posted in the second stage. |
Stage-2: Product Code |
The code representing the product involved in the financial transaction in the second stage. |
Stage-2: Profit Center |
The profit center responsible for the financial transaction in the second stage. |
Stage-2: Trading Partner ID |
The identifier for the trading partner involved in the financial transaction in the second stage. |
Stage-2: Transaction Type |
The type of transaction in the second stage. |
Stage-2: UOM Code |
The unit of measure code used for quantities in the second stage. |
Stage-2: Unique ID |
A unique identifier assigned to the transaction in the second stage. |
Stage-2: Vendor |
The vendor associated with the financial transaction in the second stage. |
Stage-2: WBS Element |
The work breakdown structure element associated with the financial transaction in the second stage. |
Source Ref 1-25 |
Reference fields from the source system for additional details. |
Target Ref 1-25 |
Reference fields in the target system for additional details. |
Level-3 Report (Summary)
Measures
| Column | Business Description |
|---|---|
Stage-2: Company Amount |
The total amount of financial transactions specific to a particular company code in the second stage. |
SLT: Company Amount |
The total amount of financial transactions specific to a particular company code in the SLT (SAP Landscape Transformation) stage. |
Company Amount Variance |
The difference in company amounts between the second stage and the SLT stage. |
Stage-2: Document Amount |
The total amount of a financial transaction in the second stage. |
SLT: Document Amount |
The total amount of a financial transaction in the SLT stage. |
Document Amount Variance |
The difference in transaction amounts between the second stage and the SLT stage. |
Stage-2: Document Count |
The total number of financial transactions in the second stage. |
SLT: Document Count |
The total number of financial transactions in the SLT stage. |
Document Count Variance |
The difference in the number of financial transactions between the second stage and the SLT stage. |
Stage-2: Total Units |
The aggregate quantity of units in the second stage. |
SLT: Total Units |
The aggregate quantity of units in the SLT stage. |
Total Units Variance |
The difference in total units between the second stage and the SLT stage. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
Company Currency Code |
The currency used for financial transactions within a specific company code. |
Document Currency Code |
The currency in which the transaction is recorded. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which the data originates. |
SLT: Company Code |
The company code used in the SLT stage. |
SLT: Document Date |
The date on which a financial transaction was created in the SLT stage. |
SLT: Document Type |
The type of financial transaction in the SLT stage. |
SLT: Fiscal Period |
The fiscal period applicable during the SLT stage. |
SLT: Fiscal Year |
The fiscal year applicable during the SLT stage. |
SLT: MSC Interface Date |
The date the data was interfaced with the MSC in the SLT stage. |
SLT: Posted Date |
The date the transaction was posted in the SLT stage. |
SLT: Reference Document Number |
The reference transaction number recorded during the SLT stage. |
SLT: Unique ID |
A unique identifier assigned to the transaction in the SLT stage. |
Source Ledger |
The ledger from the source system where the original transaction was recorded. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Stage-2: Company Code |
The company code used in the second stage of data processing. |
Stage-2: Document Date |
The date the transaction was created in the second stage. |
Stage-2: Document Type |
The type of financial transaction in the second stage. |
Stage-2: Fiscal Period |
The fiscal period applicable during the second stage. |
Stage-2: Fiscal Year |
The fiscal year applicable during the second stage. |
Stage-2: MSC Interface Date |
The date the data was interfaced with the MSC in the second stage. |
Stage-2: Posting Date |
The date the transaction was posted in the second stage. |
Stage-2 Reference Document Number |
The reference transaction number recorded during the second stage. |
Stage-2: Unique ID |
A unique identifier assigned to the transaction in the second stage. |
Source Ref 1-25 |
Reference fields from the source system for additional details. |
Target Ref 1-25 |
Reference fields in the target system for additional details. |
Level-3 Report (Detail)
Measures
| Column | Business Description |
|---|---|
Stage-2: Quantity |
The quantity recorded during the second stage of data processing. |
SLT: Quantity |
The quantity recorded during the SLT stage. |
Quantity Variance |
The difference in quantity between the second stage and the SLT stage. |
Stage-2: Company Amount |
The total amount of financial transactions specific to a particular company code in the second stage. |
SLT: Company Amount |
The total amount of financial transactions specific to a particular company code in the SLT stage. |
Company Amount Variance |
The difference in company amounts between the second stage and the SLT stage. |
Stage-2: Document Amount |
The total amount of a financial transaction in the second stage. |
SLT: Document Amount |
The total amount of a financial transaction in the SLT stage. |
Document Amount Variance |
The difference in transaction amounts between the second stage and the SLT stage. |
Source Ref 26-30 |
Reference fields from the source system for additional details. |
Target Ref 26-30 |
Reference fields in the target system for additional details. |
Attributes
| Column | Business Description |
|---|---|
Company Currency Code |
The currency used for financial transactions within a specific company code. |
Document Currency Code |
The currency in which the transaction is recorded. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which the data originates. |
SLT: Business Activity |
The type of business activity associated with the financial transaction in the SLT stage. |
SLT: Company Code |
The company code used in the SLT stage. |
SLT: Cost Center |
The cost center responsible for the financial transaction in the SLT stage. |
SLT: Customer |
The customer associated with the financial transaction in the SLT stage. |
SLT: Document Date |
The date on which a financial transaction was created in the SLT stage. |
SLT: Document Type |
The type of financial transaction in the SLT stage. |
SLT: Due Date |
The date by which the payment is due in the SLT stage. |
SLT: Fiscal Period |
The fiscal period applicable during the SLT stage. |
SLT: Fiscal Year |
The fiscal year applicable during the SLT stage. |
SLT: GL Account |
The general ledger account used for the financial transaction in the SLT stage. |
SLT: Item Number Account |
The account number associated with the item during the SLT stage. |
SLT: MSC Interface Date |
The date the data was interfaced with the MSC in the SLT stage. |
SLT: Material Number |
The number identifying the material involved in the financial transaction in the SLT stage. |
SLT: PRD Tax Code |
The tax code used for the financial transaction in the SLT stage. |
SLT: Posted Date |
The date the transaction was posted in the SLT stage. |
SLT: Product Code |
The code representing the product involved in the financial transaction in the SLT stage. |
SLT: Profit Center |
The profit center responsible for the financial transaction in the SLT stage. |
SLT: Reference Document Number |
The reference transaction number recorded during the SLT stage. |
SLT: Trading Partner ID |
The identifier for the trading partner involved in the financial transaction in the SLT stage. |
SLT: Transaction Type |
The type of transaction in the SLT stage. |
SLT: UOM Code |
The unit of measure code used for quantities in the SLT stage. |
SLT: Unique ID |
A unique identifier assigned to the transaction in the SLT stage. |
SLT: Vendor |
The vendor associated with the financial transaction in the SLT stage. |
SLT: WBS Element |
The work breakdown structure element associated with the financial transaction in the SLT stage. |
Source Ledger |
The ledger from the source system where the original transaction was recorded. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Stage-2: Business Activity |
The type of business activity associated with the financial transaction in the second stage. |
Stage-2: Company Code |
The company code used in the second stage of data processing. |
Stage-2: Cost Center |
The cost center responsible for the financial transaction in the second stage. |
Stage-2: Customer |
The customer associated with the financial transaction in the second stage. |
Stage-2: Document Date |
The date the transaction was created in the second stage. |
Stage-2: Document Type |
The type of financial transaction in the second stage. |
Stage-2: Due Date |
The date by which the payment is due in the second stage. |
Stage-2: Fiscal Period |
The fiscal period applicable during the second stage. |
Stage-2: Fiscal Year |
The fiscal year applicable during the second stage. |
Stage-2: GL Account |
The general ledger account used for the financial transaction in the second stage. |
Stage-2: Item Number Account |
The account number associated with the item during the second stage. |
Stage-2: MSC Interface Date |
The date the data was interfaced with the MSC in the second stage. |
Stage-2: Material Number |
The number identifying the material involved in the financial transaction in the second stage. |
Stage-2: PRD Tax Code |
The tax code used for the financial transaction in the second stage. |
Stage-2: Posted Date |
The date the transaction was posted in the second stage. |
Stage-2: Product Code |
The code representing the product involved in the financial transaction in the second stage. |
Stage-2: Profit Center |
The profit center responsible for the financial transaction in the second stage. |
Stage-2: Reference Document Number |
The reference transaction number recorded during the second stage. |
Stage-2: Trading Partner ID |
The identifier for the trading partner involved in the financial transaction in the second stage. |
Stage-2: Transaction Type |
The type of transaction in the second stage. |
Stage-2: UOM Code |
The unit of measure code used for quantities in the second stage. |
Stage-2: Unique ID |
A unique identifier assigned to the transaction in the second stage. |
Stage-2: Vendor |
The vendor associated with the financial transaction in the second stage. |
Stage-2: WBS Element |
The work breakdown structure element associated with the financial transaction in the second stage. |
Source Ref 1-25 |
Reference fields from the source system for additional details. |
Target Ref 1-25 |
Reference fields in the target system for additional details. |
Level-4 Report
Measures
| Column | Business Description |
|---|---|
SLT: Document Count |
The total number of financial transactions in the SLT stage. |
CFIN: Document Count |
The total number of financial transactions in the Central Finance system. |
Document Count Variance |
The difference in transaction counts between the SLT stage and the Central Finance system. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
CFIN: Company Code |
The specific company code associated with financial transactions being processed within the Central Finance system. |
CFIN: Document Date |
The date on which a financial transaction was created or posted in the Central Finance system. |
CFIN: Document Number |
Each financial transaction processed within the Central Finance system. |
CFIN: Document Type |
The type of financial transaction in the Central Finance system. |
CFIN: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
CFIN: Fiscal Year |
The fiscal year during which financial transactions are recorded and processed. |
CFIN: Logical System |
The identifier for the logical system within the Central Finance system. |
CFIN: Posted Date |
The date on which a financial transaction was posted in the Central Finance system. |
CFIN: Unique ID |
A unique identifier for each financial transaction within the Central Finance system. |
Document Currency Code |
The currency in which a financial transaction is recorded. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which financial data is replicated to the Central Finance system. |
MSC Interface Date |
The date when data was interfaced through the MSC (Master Data Synchronization) process. |
SLT: Company Code |
The company code used in the SLT stage. |
SLT: Document Date |
The date on which a financial transaction was created in the SLT stage. |
SLT: Fiscal period |
The fiscal period applicable during the SLT stage. |
SLT: Fiscal Year |
The fiscal year applicable during the SLT stage. |
SLT: Posting Date |
The date the transaction was posted in the SLT stage. |
SLT: Reference Document Number |
The reference transaction number recorded during the SLT stage. |
SLT: Unique ID |
A unique identifier assigned to the transaction in the SLT stage. |
Source Ref 1-25 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 1-25 |
Custom reference fields in the target system used for additional information or categorization. |
Level - 5 Report (Summary)
Measures
| Column | Business Description |
|---|---|
Source: Document Count |
The number of financial transactions in the source system. |
cFIN: Document Count |
The number of financial transactions in the Central Finance system. |
Document Count Variance |
The difference between the number of financial transactions in the source system and the Central Finance system. |
Source: Total Units |
The aggregate quantity of units recorded across all relevant transactions in the source system. |
cFIN: Total Units |
The aggregate quantity of units replicated from the source system to the Central Finance system. |
Total Units variance |
The difference between the aggregate quantity of units recorded in the source system and the Central Finance system. |
Source: Document Amount |
The total amount of a financial transaction in the source system. |
cFIN: Document Amount |
The total amount of a financial transaction in the Central Finance system. |
Document Amount variance |
The difference between the transaction values in the source system and the Central Finance system. |
Source: Company Amount |
The total amount of financial transactions specific to a particular company code in the source system. |
cFIN: Company Amount |
The total amount of financial transactions specific to a particular company code in the Central Finance system. |
Company Amount variance |
The difference between the company code-specific transaction values in the source system and the Central Finance system. |
Source: Group Amount |
The total amount of financial transactions consolidated across all company codes in the source system. |
cFIN: Group Amount |
The total amount of financial transactions consolidated across all company codes in the Central Finance system. |
Group Amount variance |
The difference between the consolidated transaction values across company codes in the source system and the Central Finance system. |
AIF: Document count |
The number of transactions processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Total units |
The total number of units across transactions processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Document Amount |
The transaction value processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Company Amount |
The transaction value specific to each company code processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Group Amount |
The total transaction value for all company codes processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
In Process: Document count |
The number of financial transactions that are currently being processed and have not yet been posted. |
In Process: Total units |
The total number of financial transaction units that are currently being processed and have not yet been posted. |
In Process: Document Amount |
The total amount of financial transactions that are currently being processed and have not yet been posted. |
In Process: Company Amount |
The total amount of financial transactions specific to a particular company code that are currently being processed and have not yet been posted. |
In Process: Group Amount |
The total amount of financial transactions consolidated across all company codes that are currently being processed and have not yet been posted. |
Attributes
| Column | Business Description |
|---|---|
As of Date |
The date up to which financial data is considered current and accurate. |
CFIN: Company Code |
The specific company code associated with financial transactions being processed within the Central Finance system. |
CFIN: Document Date |
The date on which a financial transaction was created or posted in the Central Finance system. |
CFIN: Document Number |
Each financial transaction processed within the Central Finance system. |
CFIN: Document Posted Date |
The date on which a financial transaction was posted in the Central Finance system. |
CFIN: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
CFIN: Fiscal Year |
The fiscal year during which financial transactions are recorded and processed. |
CFIN: Ledger Type |
The type of ledger used for financial reporting and consolidation within the Central Finance system. |
CFIN: Market |
The market or region associated with financial transactions in the Central Finance system. |
CFIN: Mode |
The operational mode or status of financial transactions being processed in the Central Finance system. |
CFIN: Unique ID |
A unique identifier for each financial transaction within the Central Finance system. |
Company Currency Code |
The currency used for financial transactions within a specific company code. |
Document Currency Code |
The currency in which a financial transaction is recorded. |
Group Currency Code |
The currency used for consolidated financial reporting across all company codes. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which financial data is replicated to the Central Finance system. |
MSC Interface Date |
The date when data was interfaced through the MSC (Master Data Synchronization) process. |
Mapped SAP Company Code |
The SAP company code to which the source system’s company code is mapped. |
Processing Status |
The current status of financial transactions being processed, such as pending or completed. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Source: Batch |
The batch process that replicated the financial data from the source system. |
Source: Company Code |
The specific company code associated with financial transactions being processed within the source system. |
Source: Document Date |
The date on which a financial transaction was created in the source system. |
Source: Document Number |
Each financial transaction processed in the source system. |
Source: Document Posted Date |
The date on which a financial transaction was posted in the source system. |
Source: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
Source: Ledger Type |
The type of ledger (e.g., general ledger, subledger) from which the financial data is sourced. |
Source: Market |
The market or region associated with financial transactions in the source system. |
Source: Mode |
The operational mode or status of financial transactions being processed in the source system. |
Source: Unique ID |
A unique identifier for each financial transaction within the source system. |
Source Ref 1-25 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 1-25 |
Custom reference fields in the target system used for additional information or categorization. |
Level - 5 Report (Detail)
Measures
| Column | Business Description |
|---|---|
Source: Quantity |
The quantity of items recorded in the source system. |
Target: Quantity |
The quantity of items recorded in the target system. |
Quantity Variance |
The difference in quantity between the source and target systems. |
Source: Document Amount |
The total amount of a financial transaction in the source system. |
CFIN: Document Amount |
The total amount of a financial transaction in the Central Finance system. |
Document Amount Variance |
The difference between the transaction values in the source system and the Central Finance system. |
Source: Company Amount |
The total amount of financial transactions specific to a particular company code in the source system. |
CFIN: Company Amount |
The total amount of financial transactions specific to a particular company code in the Central Finance system. |
Company Amount Variance |
The difference between the company code-specific transaction values in the source system and the Central Finance system. |
Source: Group Amount |
The total amount of financial transactions consolidated across all company codes in the source system. |
CFIN: Group Amount |
The total amount of financial transactions consolidated across all company codes in the Central Finance system. |
Group Amount Variance |
The difference between the consolidated transaction values across company codes in the source system and the Central Finance system. |
Source: Alternate Quantity |
An alternate quantity measure recorded in the source system. |
CFIN: Alternate Quantity |
An alternate quantity measure recorded in the Central Finance system. |
Alternate Quantity Variance |
The difference in alternate quantities between the source and Central Finance systems. |
AIF: Quantity |
The quantity of items processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Document Amount |
The transaction value processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Company Amount |
The transaction value specific to each company code processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Group Amount |
The total transaction value for all company codes processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
AIF: Alternate Quantity |
An alternate quantity measure processed through the Application Interface Framework (AIF) from the source system to the Central Finance system. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
As of Date |
The date up to which financial data is considered current and accurate. |
CFIN: Account Group |
Group of accounts associated with financial transactions. |
CFIN: Alternate UOM |
An alternate unit of measure for quantities in the Central Finance system. |
CFIN: Baseline Date |
The date from which payment terms are calculated in the Central Finance system. |
CFIN: Business Activity |
The type of business activity associated with the financial transaction. |
CFIN: Company Code |
The specific company code associated with financial transactions being processed within the Central Finance system. |
CFIN: Cost Center |
The cost center responsible for the financial transaction in the Central Finance system. |
CFIN: Cost Object Number |
The unique identifier for a cost object in the Central Finance system. |
CFIN: Customer |
The customer associated with the financial transaction in the Central Finance system. |
CFIN: Document Date |
The date on which a financial transaction was created or posted in the Central Finance system. |
CFIN: Document Number |
Each financial transaction processed within the Central Finance system. |
CFIN: Document Posted Date |
The date on which a financial transaction was posted in the Central Finance system. |
CFIN: Document Type |
The type of financial transaction in the Central Finance system. |
CFIN: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
CFIN: Fiscal Year |
The fiscal year during which financial transactions are recorded and processed. |
CFIN: GL Account |
The general ledger account used for the financial transaction in the Central Finance system. |
CFIN: HI4 |
A custom field used for specific reporting or reconciliation needs in the Central Finance system. |
CFIN: Ledger |
The type of ledger used for financial reporting and consolidation within the Central Finance system. |
CFIN: Market |
The market or region associated with financial transactions in the Central Finance system. |
CFIN: Mode |
The operational mode or status of financial transactions being processed in the Central Finance system. |
CFIN: Net Due Date |
The date by which the payment is due in the Central Finance system. |
CFIN: Number of Days |
The number of days used to calculate payment terms or aging in the Central Finance system. |
CFIN: PRD Tax Code |
The tax code used for the financial transaction in the Central Finance system. |
CFIN: Payment Block |
Blocked payment indicator for the financial transaction in the Central Finance system. |
CFIN: Payment Terms |
The terms of payment for the financial transaction in the Central Finance system. |
CFIN: Product Code |
The code representing the product involved in the financial transaction. |
CFIN: Profit Center |
The profit center responsible for the financial transaction in the Central Finance system. |
CFIN: Trading Partner ID |
The identifier for the trading partner involved in the financial transaction. |
CFIN: Transaction Type |
The type of transaction in the Central Finance system. |
CFIN: Unique ID |
A unique identifier for each financial transaction within the Central Finance system. |
CFIN: Vendor |
The vendor associated with the financial transaction in the Central Finance system. |
CFIN: WBS Element |
The work breakdown structure element associated with the financial transaction. |
Company Currency Code |
The currency used for financial transactions within a specific company code. |
Derived Mapped Product Code |
The product code obtained by mapping data from the source system to the Central Finance system. |
Document Currency Code |
The currency in which a financial transaction is recorded. |
Group Currency Code |
The currency used for consolidated financial reporting across all company codes. |
Location |
The physical or organizational location associated with financial transactions. |
Logical System |
The source system from which financial data is replicated to the Central Finance system. |
MSC Interface Date |
The date when data was interfaced through the MSC (Master Data Synchronization) process. |
Mapped SAP Currency Code |
The SAP company code to which the source system’s company code is mapped. |
Processing Status |
The current processing status of the financial transaction in the Central Finance system. |
Source: Alternate UOM |
An alternate unit of measure for quantities in the source system. |
Source: Baseline Date |
The date from which payment terms are calculated in the source system. |
Source: Batch |
The batch process that replicated the financial data from the source system. |
Source: Business Activity |
The type of business activity associated with the financial transaction in the source system. |
Source: Business Unit |
The business unit responsible for the financial transaction in the source system. |
Source: Company Code |
The specific company code associated with financial transactions being processed within the source system. |
Source: Cost Center |
The cost center responsible for the financial transaction in the source system. |
Source: Cost Object Number |
The unique identifier for a cost object in the source system. |
Source: Customer |
The customer associated with the financial transaction in the source system. |
Source: Document Date |
The date on which a financial transaction was created in the source system. |
Source: Document Number |
Each financial transaction processed in the source system. |
Source: Document Posted Date |
The date on which a financial transaction was posted in the source system. |
Source: Document Type |
The type of financial transaction in the source system. |
Source: Due Date |
The date by which the payment is due in the source system. |
Source: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
Source: Fiscal Year |
The fiscal year during which financial transactions are recorded and processed. |
Source: HI4 |
A custom field used for specific reporting or reconciliation needs in the source system. |
Source: Ledger |
The type of ledger (e.g., general ledger, subledger) from which the financial data is sourced. |
Source: Market |
The market or region associated with financial transactions in the source system. |
Source: Material Number |
The number identifying the material involved in the financial transaction in the source system. |
Source: Mode |
The operational mode or status of financial transactions being processed in the source system. |
Source: Number of Days |
The number of days used to calculate payment terms or aging in the source system. |
Source: Object Account |
The account associated with the financial transaction in the source system. |
Source: PRD Tax Code |
The tax code used for the financial transaction in the source system. |
Source: Payment Block |
Blocked payment indicator for the financial transaction in the source system. |
Source: Payment Terms |
The terms of payment for the financial transaction in the source system. |
Source: Product Code |
The code representing the product involved in the financial transaction in the source system. |
Source: Profit Center |
The profit center responsible for the financial transaction in the source system. |
Source: Subsidiary |
The subsidiary company associated with the financial transaction in the source system. |
Source: Trading Partner ID |
The identifier for the trading partner involved in the financial transaction in the source system. |
Source: Transaction Type |
The type of transaction in the source system. |
Source: UOM Code |
The unit of measure code used for quantities in the source system. |
Source: Unique ID |
A unique identifier for each financial transaction within the source system. |
Source: Updated Transaction Type |
The updated type of transaction in the source system. |
Source: Vendor |
The vendor associated with the financial transaction in the source system. |
Source: WBS Element |
The work breakdown structure element associated with the financial transaction in the source system. |
Source Ref 1-25 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 1-25 |
Custom reference fields in the target system used for additional information or categorization. |
GL Balance Report
Measures
| Column | Business Description |
|---|---|
Source: Beginning Balance Period - GC |
The opening balance for the period in the source system, measured in the global currency. |
Source: Debit Posting Period - GC |
Total debit postings for the period in the source system, measured in the global currency. |
Source: Credit Posting Period - GC |
Total credit postings for the period in the source system, measured in the global currency. |
Source: Ending Balance Period - GC |
The closing balance for the period in the source system, measured in the global currency. |
CFIN: Beginning Balance Period - GC |
The opening balance for the period in SAP Central Finance, measured in the global currency. |
CFIN: Debit Posting Period - GC |
Total debit postings for the period in SAP Central Finance, measured in the global currency. |
CFIN: Credit Posting Period - GC |
Total credit postings for the period in SAP Central Finance, measured in the global currency. |
CFIN: Ending Balance Period - GC |
The closing balance for the period in SAP Central Finance, measured in the global currency. |
Variance: Beginning Balance Period - GC |
The difference in opening balances between the source system and SAP Central Finance, measured in the global currency. |
Variance: Debit Posting Period - GC |
The difference in debit postings between the source system and SAP Central Finance, measured in the global currency. |
Variance: Credit Posting Period - GC |
The difference in credit postings between the source system and SAP Central Finance, measured in the global currency. |
Variance: Ending Balance Period - GC |
The difference in closing balances between the source system and SAP Central Finance, measured in the global currency. |
Source: Beginning Balance Period - TC |
The opening balance for the period in the source system, measured in the transaction currency. |
Source: Debit Posting Period - TC |
Total debit postings for the period in the source system, measured in the transaction currency. |
Source: Credit Posting Period - TC |
Total credit postings for the period in the source system, measured in the transaction currency. |
Source: Ending Balance Period - TC |
The closing balance for the period in the source system, measured in the transaction currency. |
CFIN: Beginning Balance Period - TC |
The opening balance for the period in SAP Central Finance, measured in the transaction currency. |
CFIN: Debit Posting Period - TC |
Total debit postings for the period in SAP Central Finance, measured in the transaction currency. |
CFIN: Credit Posting Period - TC |
Total credit postings for the period in SAP Central Finance, measured in the transaction currency. |
CFIN: Ending Balance Period - TC |
The closing balance for the period in SAP Central Finance, measured in the transaction currency. |
Variance: Beginning Balance Period - TC |
The difference in opening balances between the source system and SAP Central Finance, measured in the transaction currency. |
Variance: Debit Posting Period - TC |
The difference in debit postings between the source system and SAP Central Finance, measured in the transaction currency. |
Variance: Credit Posting Period - TC |
The difference in credit postings between the source system and SAP Central Finance, measured in the transaction currency. |
Variance: Ending Balance Period - TC |
The difference in closing balances between the source system and SAP Central Finance, measured in the transaction currency. |
Source: Beginning Balance Period - CC |
The opening balance for the period in the source system, measured in the company code currency. |
Source: Debit Posting Period - CC |
Total debit postings for the period in the source system, measured in the company code currency. |
Source: Credit Posting Period - CC |
Total credit postings for the period in the source system, measured in the company code currency. |
Source: Ending Balance Period - CC |
The closing balance for the period in the source system, measured in the company code currency. |
CFIN: Beginning Balance Period - CC |
The opening balance for the period in SAP Central Finance, measured in the company code currency. |
CFIN: Debit Posting Period - CC |
Total debit postings for the period in SAP Central Finance, measured in the company code currency. |
CFIN: Credit Posting Period - CC |
Total credit postings for the period in SAP Central Finance, measured in the company code currency. |
CFIN: Ending Balance Period - CC |
The closing balance for the period in SAP Central Finance, measured in the company code currency. |
Variance: Beginning Balance Period - CC |
The difference in opening balances between the source system and SAP Central Finance, measured in the company code currency. |
Variance: Debit Posting Period - CC |
The difference in debit postings between the source system and SAP Central Finance, measured in the company code currency. |
Variance: Credit Posting Period - CC |
The difference in credit postings between the source system and SAP Central Finance, measured in the company code currency. |
Variance: Ending Balance Period - CC |
The difference in closing balances between the source system and SAP Central Finance, measured in the company code currency. |
Source: Beginning Quantity Period |
The opening quantity for the period in the source system. |
Source: Debit Quantity Period |
Total debit quantities for the period in the source system. |
Source: Credit Quantity Period |
Total credit quantities for the period in the source system. |
Source: Ending Quantity Period |
The closing quantity for the period in the source system. |
CFIN: Beginning Quantity Period |
The opening quantity for the period in SAP Central Finance. |
CFIN: Debit Quantity Period |
Total debit quantities for the period in SAP Central Finance. |
CFIN: Credit Quantity Period |
Total credit quantities for the period in SAP Central Finance. |
CFIN: Ending Quantity Period |
The closing quantity for the period in SAP Central Finance. |
Variance: Beginning Quantity Period |
The difference in opening quantities between the source system and SAP Central Finance. |
Variance: Debit Quantity Period |
The difference in debit quantities between the source system and SAP Central Finance. |
Variance: Credit Quantity Period |
The difference in credit quantities between the source system and SAP Central Finance. |
Variance: Ending Quantity Period |
The difference in closing quantities between the source system and SAP Central Finance. |
Source: Debit Alt. Quantity Period |
Total debit alternative quantities for the period in the source system. |
Source: Credit Alt. Quantity Period |
Total credit alternative quantities for the period in the source system. |
Source: Ending Alt. Quantity Period |
The closing alternative quantity for the period in the source system. |
CFIN: Beginning Alt. Quantity Period |
The opening alternative quantity for the period in SAP Central Finance. |
CFIN: Debit Alt. Quantity Period |
Total debit alternative quantities for the period in SAP Central Finance. |
CFIN: Credit Alt. Quantity Period |
Total credit alternative quantities for the period in SAP Central Finance. |
CFIN: Ending Alt. Quantity Period |
The closing alternative quantity for the period in SAP Central Finance. |
Variance: Beginning Alt. Quantity Period |
The difference in opening alternative quantities between the source system and SAP Central Finance. |
Variance: Debit Alt. Quantity Period |
The difference in debit alternative quantities between the source system and SAP Central Finance. |
Variance: Credit Alt. Quantity Period |
The difference in credit alternative quantities between the source system and SAP Central Finance. |
Variance: Ending Alt. Quantity Period |
The difference in closing alternative quantities between the source system and SAP Central Finance. |
Source Ref 26-30 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 26-30 |
Custom reference fields in the target system used for additional information or categorization. |
Attributes
| Column | Business Description |
|---|---|
As Of Date |
The date up to which financial data is considered current and accurate. |
CFIN: Account |
The general ledger account in SAP Central Finance. |
CFIN: Account UOM |
The unit of measure associated with the account in SAP Central Finance. |
CFIN: Base UOM |
The base unit of measure for transactions in SAP Central Finance. |
CFIN: Business Activity Code |
The code representing the business activity in SAP Central Finance. |
CFIN: Company Code |
The specific company code associated with financial transactions being processed within the Central Finance system. |
CFIN: Company Currency Code (CC) |
The currency code used by the company in SAP Central Finance. |
CFIN: Cost Center |
The cost center responsible for the financial transaction in the Central Finance system. |
CFIN: Customer |
The customer associated with the financial transaction in the Central Finance system. |
CFIN: Document Type |
The type of financial transaction in the Central Finance system. |
CFIN: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
CFIN: Fiscal Year |
The fiscal year during which financial transactions are recorded and processed. |
CFIN: Group Currency Code (GC) |
The currency code used for group-level reporting in SAP Central Finance. |
CFIN: HI4 |
A custom field used for specific reporting or reconciliation needs in the Central Finance system. |
CFIN: JV Partner |
The joint venture partner associated with the transaction in SAP Central Finance. |
CFIN: JV Recovery Indicator |
The indicator for joint venture recovery in SAP Central Finance. |
CFIN: Ledger |
The type of ledger used for financial reporting and consolidation within the Central Finance system. |
CFIN: Product Code |
The code representing the product involved in the financial transaction. |
CFIN: Product Sold Code |
The code representing the product sold in SAP Central Finance. |
CFIN: Profit Center |
The profit center responsible for the financial transaction in the Central Finance system. |
CFIN: Trading Partner |
The trading partner involved in the transaction in SAP Central Finance. |
CFIN: Transaction Currency Code (TC) |
The currency code used for the transaction in SAP Central Finance. |
CFIN: Transaction Type |
The type of transaction in the Central Finance system. |
CFIN: Vendor |
The vendor associated with the financial transaction in the Central Finance system. |
CFIN: Venture Number |
The number identifying the venture in SAP Central Finance. |
CFIN: WBS Element |
The work breakdown structure element associated with the financial transaction. |
Mapped CFIN Company Code |
The company code mapped in SAP Central Finance. |
Reconciliation Site |
The site used for reconciliation in SAP Central Finance. |
Source System |
The original system from which financial data is replicated to the Central Finance system. |
Source: Account |
The general ledger account in the source system. |
Source: Account UOM |
The unit of measure associated with the account in the source system. |
Source: Base UOM |
The base unit of measure for transactions in the source system. |
Source: Business Activity Code |
The code representing the business activity in the source system. |
Source: Company Code |
The specific company code associated with financial transactions being processed within the source system. |
Source: Company Currency Code (CC) |
The currency code used by the company in the source system. |
Source: Cost Center |
The cost center associated with the transaction in the source system. |
Source: Customer |
The customer involved in the transaction in the source system. |
Source: Document Type |
The type of transaction in the source system. |
Source: ERP Type |
The type of ERP system used as the source. |
Source: Fiscal Period |
The accounting period within a fiscal year during which financial transactions are recorded. |
Source: Fiscal Year |
The fiscal year during which financial transactions are recorded and processed. |
Source: Group Currency Code (GC) |
The currency code used for group-level reporting in the source system. |
Source: HI4 |
A custom field used for specific reporting or reconciliation needs in the source system. |
Source: JV Partner |
The joint venture partner associated with the transaction in the source system. |
Source: JV Recovery Indicator |
The indicator for joint venture recovery in the source system. |
Source: Ledger |
The type of ledger (e.g., general ledger, subledger) from which the financial data is sourced. |
Source: Product Code |
The code representing the product involved in the financial transaction in the source system. |
Source: Product Sold Code |
The code representing the product sold in the source system. |
Source: Profit Center |
The profit center responsible for the financial transaction in the source system. |
Source: Subsidiary |
The subsidiary company associated with the financial transaction in the source system. |
Source: Trading Partner |
The trading partner involved in the transaction in the source system. |
Source: Transaction Currency Code (TC) |
The currency code used for the transaction in the source system. |
Source: Transaction Type |
The type of transaction in the source system. |
Source: Vendor |
The vendor associated with the financial transaction in the source system. |
Source: Venture Number |
The number identifying the venture in the source system. |
Source Ref 1-25 |
Custom reference fields from the source system used for additional information or categorization. |
Target Ref 1-25 |
Custom reference fields in the target system used for additional information or categorization. |
Level-0 Reconciliation Report
The insightsoftware Reconciliation Level - 0 Summary and insightsoftware Reconciliation Level - 0 Detail reports compare the raw source business documents with the final Central Finance results.
Document Count Reconciliation:
- Compares total document counts between source ERP systems and final CFIN postings.
- Recognizes when single source documents are split into multiple CFIN documents during replication and applies smart grouping logic to maintain original document relationships.
Amount Reconciliation:
- Validates total monetary values from source systems against final CFIN posted amounts.
- Supports document-level validation as well as summarized comparisons at company code, period, or other business dimensions.
- Automatically flags currency conversion discrepancies and provides variance warnings for mismatched amounts.
Level-1 Reconciliation Report
The insightsoftware Reconciliation Level – 1 report compares the financial documents created in your source system with the documents that are extracted and loaded by Transaction into the initial staging tables of Stage 1 in the staging database.
To access the report, provide values for the following prompts:
Source SystemSource LedgerSource Company CodeSource Document NumberSource BatchSource Doc. Posted Date-StartSource Doc. Posted Date-EndSource Fiscal PeriodSource Fiscal YearSource Location
A screenshot of the report is as follows.
Level-2 Reconciliation Report
The insightsoftware Reconciliation Level - 2 Summary and insightsoftware Reconciliation Level - 2 Detail reports compare the financial documents in the initial staging tables of Stage 1 and in the FIN% tables of Stage 2 in the staging database. The reports help you ensure that all documents are transferred into the FIN% tables after transformations and validations.
To access the reports, provide values for the following prompts:
Source SystemSource LedgerSource Company CodeSource Document NumberSource BatchSource Doc. Posted Date-StartSource Doc. Posted Date-EndSource Fiscal PeriodSource Fiscal YearSource Location
A screenshot of the insightsoftware Reconciliation Level - 2 Summary report showing the comparison of document header attributes is as follows.
A screenshot of the insightsoftware Reconciliation Level - 2 Detail report showing the comparison of document line item attributes is as follows.
Level-3 Reconciliation Report
The insightsoftware Reconciliation Level - 3 Summary and insightsoftware Reconciliation Level - 3 Detail reports compare the financial documents in the FIN% tables of Stage 2 in the staging database and in the interface tables in SLT Replication Server. The reports help you ensure that all documents are transferred into the interface tables.
To access the reports, provide values for the following prompts:
Source SystemSource Company CodeSource BatchSource Doc. Posted Date-StartSource Doc. Posted Date-EndSource Fiscal PeriodSource Fiscal YearSource Location
A screenshot of the insightsoftware Reconciliation Level - 3 Summary report showing the comparison of document header attributes is as follows.
A screenshot of the insightsoftware Reconciliation Level - 3 Detail report showing the comparison of document line item attributes is as follows.
Level-4 Reconciliation Report
The insightsoftware Reconciliation Level - 4 report compares the financial documents in the interface tables in SLT Replication Server and in SAP S/4HANA. This report helps you ensure that all documents are transferred to SAP S/4HANA.
To access the report, provide values for the following prompts:
Source SystemSource Company CodeSource BatchSource Doc. Posted Date-StartSource Doc. Posted Date-EndSource Fiscal PeriodSource Fiscal YearSource Location
A screenshot of the insightsoftware Reconciliation Level - 4 report is as follows.
Level-5 Reconciliation Report
The insightsoftware Reconciliation Level - 5 Summary and insightsoftware Reconciliation Level - 5 Detail reports compare the financial documents at the line-item level in the initial staging tables of Stage 1 of the staging database and in SAP S/4HANA.
The reports provide the variance in amounts and quantities that help you reconcile the amount and quantity information. The reports include the following transaction types:
- Financial Accounting (FI) documents
- Controlling (CO) documents
- Accounts receivables and accounts payable open items
Note: You must filter the rows by the As Of Date field for the report to function correctly.
To access the reports, provide values for the following prompts:
Source SystemSource LedgerSource Company CodeSource Document NumberSource BatchSource Doc. Posted Date-StartSource Doc. Posted Date-EndSource Fiscal PeriodSource Fiscal YearSource LocationSource MarketSource Mode-
Source Cost Center(Only for Detail Level)
A screenshot of the insightsoftware Reconciliation Level - 5 Summary report showing the comparison of document header attributes is as follows.
A screenshot of the insightsoftware Reconciliation Level - 5 Detail report showing the comparison of document line item attributes is as follows.
GL Balance Report
The GL Balance report compares the GL account balance between the Stage 1 of the initial staging tables in the staging database and SAP S/4HANA. The balance includes the beginning balance, net credit posting, net debit posting, and ending balance for a period. The report also captures the variance in amounts that may have occurred due to the exceptions in SAP Application Interface Framework (SAP AIF) or Transaction.
To access the report, provide values for the following prompts:
Source LedgerSource Company CodeStatement TypeSource Fiscal YearSource Fiscal Period FromSource Fiscal Period ToCurrency Type
A screenshot of the GL Balances report is as follows.
AVL Reconciliation Reports
The AVL reconciliation reports enable you to compare the changes to the accounting view of logistics data through the stages of replication and transformation from your source system into SAP S/4HANA.
Note: AVL reconciliation reports are available for the Oracle PeopleSoft source system.
Attributes
The key measures and attributes specific to each level of reconciliation reports are as follows.
Level-1 Report
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- SOURCE_RPLD_PO_ORDER
- STAGE1_RPLD_PO_ORDER
- SOURCE_RPLD_PO_ITEM
- STAGE1_RPLD_PO_ITEM
- SOURCE_RPLD_SCHEDLINE
- STAGE1_RPLD_SCHEDLINE
- SOURCE_COMPANYCODE
- STAGE1_COMPANYCODE
- SOURCE_ORD_CREATIONDT
- STAGE1_ORD_CREATIONDT
- SOURCE_ORD_CREATEDBY
- STAGE1_ORD_CREATEDBY
- SOURCE_DELIVERY_DT
- STAGE1_DELIVERY_DT
- SOURCE_SALESGROUP
- STAGE1_SALESGROUP
- SOURCE_MATERIAL
- STAGE1_MATERIAL
- SOURCE_PLANT
- STAGE1_PLANT
- SOURCE_UOM
- STAGE1_UOM
- SOURCE_CURRENCY
- STAGE1_CURRENCY
- SOURCE_SUPPLIER
- STAGE1_SUPPLIER
- SOURCE_QTY
- STAGE1_QTY
- QTY_VARIANCE
- SOURCE_NETAMOUNT
- STAGE1_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- STAGE1_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- SOURCE_RPLD_SODOC
- STAGE1_RPLD_SODOC
- SOURCE_RPLD_SOITEM
- STAGE1_RPLD_SOITEM
- SOURCE_RPLD_SCHEDLINE
- STAGE1_RPLD_SCHEDLINE
- SOURCE_COMPANYCODE
- STAGE1_COMPANYCODE
- SOURCE_ORD_CREATIONDT
- STAGE1_ORD_CREATIONDT
- SOURCE_CUSTOMER
- STAGE1_CUSTOMER
- SOURCE_DELIVERY_DT
- STAGE1_DELIVERY_DT
- SOURCE_SALESORDERTYPE
- STAGE1_SALESORDERTYPE
- SOURCE_MATERIAL
- STAGE1_MATERIAL
- SOURCE_PLANT
- STAGE1_PLANT
- SOURCE_UOM
- STAGE1_UOM
- SOURCE_CURRENCY
- STAGE1_CURRENCY
- SOURCE_QTY
- STAGE1_QTY
- QTY_VARIANCE
- SOURCE_NETAMOUNT
- STAGE1_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- STAGE1_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- SOURCE_REPLICATED_CIDOC
- STAGE1_REPLICATED_CIDOC
- SOURCE_REPLICATED_CIITEM
- STAGE1_REPLICATED_CIITEM
- SOURCE_BILLINGDATE
- STAGE1_BILLINGDATE
- SOURCE_CREATIONDATE
- STAGE1_CREATIONDATE
- SOURCE_COMPANYCODE
- STAGE1_COMPANYCODE
- SOURCE_SOLDTOPARTY
- STAGE1_SOLDTOPARTY
- SOURCE_MATERIAL
- STAGE1_MATERIAL
- SOURCE_PLANT
- STAGE1_PLANT
- SOURCE_UOM
- STAGE1_UOM
- SOURCE_CURRENCY
- STAGE1_CURRENCY
- SOURCE_QUANTITY
- STAGE1_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- STAGE1_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- STAGE1_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- SOURCE_REPLICATED_SIDOC
- STAGE1_REPLICATED_SIDOC
- SOURCE_REPLICATED_SIITEM
- STAGE1_REPLICATED_SIITEM
- SOURCE_DOCUMENTDATE
- STAGE1_DOCUMENTDATE
- SOURCE_CREATIONDATE
- STAGE1_CREATIONDATE
- SOURCE_COMPANYCODE
- STAGE1_COMPANYCODE
- SOURCE_INVOICINGPARTY
- STAGE1_INVOICINGPARTY
- SOURCE_PLANT
- STAGE1_PLANT
- SOURCE_MATERIAL
- STAGE1_MATERIAL
- SOURCE_UOM
- STAGE1_UOM
- SOURCE_CURRENCY
- STAGE1_CURRENCY
- SOURCE_QUANTITY
- STAGE1_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- STAGE1_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- STAGE1_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Level-2 Report (Summary)
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- STAGE1_RPLD_PO_DOC
- STAGE2_RPLD_PO_DOC
- STAGE1_RPLD_PO_ITEM
- STAGE2_RPLD_PO_ITEM
- STAGE1_RPLD_SCHEDLINE
- STAGE2_RPLD_SCHEDLINE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_ORD_CREATIONDT
- STAGE2_ORD_CREATIONDT
- STAGE1_ORD_CREATEDBY
- STAGE2_ORD_CREATEDBY
- STAGE1_SALESGROUP
- STAGE2_SALESGROUP
- STAGE1_DELIVERY_DT
- STAGE2_DELIVERY_DT
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_SUPPLIER
- STAGE2_SUPPLIER
- STAGE1_QUANTITY
- STAGE2_QUANTITY
- QUANTITY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE1_DOCUMENT_CNT
- STAGE2_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- STAGE1_RPLD_SODOC
- STAGE2_RPLD_SODOC
- STAGE1_RPLD_SOITEM
- STAGE2_RPLD_SOITEM
- STAGE1_RPLD_SCHEDLINE
- STAGE2_RPLD_SCHEDLINE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_ORD_CREATIONDT
- STAGE2_ORD_CREATIONDT
- STAGE1_CUSTOMER
- STAGE2_CUSTOMER
- STAGE1_DELIVERY_DT
- STAGE2_DELIVERY_DT
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_QTY
- STAGE2_QTY
- QTY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE1_DOCUMENT_CNT
- STAGE2_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- STAGE1_REPLICATED_CIDOC
- STAGE2_REPLICATED_CIDOC
- STAGE1_REPLICATED_CIITEM
- STAGE2_REPLICATED_CIITEM
- STAGE1_BILLINGDATE
- STAGE2_BILLINGDATE
- STAGE1_CREATIONDATE
- STAGE2_CREATIONDATE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_SOLDTOPARTY
- STAGE2_SOLDTOPARTY
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_QUANTITY
- STAGE2_QUANTITY
- QUANTITY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE1_DOCUMENT_CNT
- STAGE2_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- STAGE1_REPLICATED_SIDOC
- STAGE2_REPLICATED_SIDOC
- STAGE1_REPLICATED_SIITEM
- STAGE2_REPLICATED_SIITEM
- STAGE1_DOCUMENTDATE
- STAGE2_DOCUMENTDATE
- STAGE1_CREATIONDATE
- STAGE2_CREATIONDATE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_INVOICINGPARTY
- STAGE2_INVOICINGPARTY
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_QUANTITY
- STAGE2_QUANTITY
- QUANTITY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE1_DOCUMENT_CNT
- STAGE2_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Level-2 Report (Detail)
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- STAGE1_RPLD_PO_DOC
- STAGE2_RPLD_PO_DOC
- STAGE1_RPLD_PO_ITEM
- STAGE2_RPLD_PO_ITEM
- STAGE1_RPLD_SCHEDLINE
- STAGE2_RPLD_SCHEDLINE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_ORD_CREATIONDT
- STAGE2_ORD_CREATIONDT
- STAGE1_ORD_CREATEDBY
- STAGE2_ORD_CREATEDBY
- STAGE1_SALESGROUP
- STAGE2_SALESGROUP
- STAGE1_DELIVERY_DT
- STAGE2_DELIVERY_DT
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_SUPPLIER
- STAGE2_SUPPLIER
- STAGE1_QUANTITY
- STAGE2_QUANTITY
- QUANTITY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- STAGE1_RPLD_SODOC
- STAGE2_RPLD_SODOC
- STAGE1_RPLD_SOITEM
- STAGE2_RPLD_SOITEM
- STAGE1_RPLD_SCHEDLINE
- STAGE2_RPLD_SCHEDLINE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_ORD_CREATIONDT
- STAGE2_ORD_CREATIONDT
- STAGE1_CUSTOMER
- STAGE2_CUSTOMER
- STAGE1_DELIVERY_DT
- STAGE2_DELIVERY_DT
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_QTY
- STAGE2_QTY
- QTY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- STAGE1_REPLICATED_SIDOC
- STAGE2_REPLICATED_SIDOC
- STAGE1_REPLICATED_SIITEM
- STAGE2_REPLICATED_SIITEM
- STAGE1_DOCUMENTDATE
- STAGE2_DOCUMENTDATE
- STAGE1_CREATIONDATE
- STAGE2_CREATIONDATE
- STAGE1_COMPANYCODE
- STAGE2_COMPANYCODE
- STAGE1_INVOICINGPARTY
- STAGE2_INVOICINGPARTY
- STAGE1_PLANT
- STAGE2_PLANT
- STAGE1_MATERIAL
- STAGE2_MATERIAL
- STAGE1_UOM
- STAGE2_UOM
- STAGE1_CURRENCY
- STAGE2_CURRENCY
- STAGE1_QUANTITY
- STAGE2_QUANTITY
- QUANTITY_VARIANCE
- STAGE1_NETAMOUNT
- STAGE2_NETAMOUNT
- NETAMOUNT_VARIANCE
Level-3 Report (Summary)
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- STAGE2_RPLD_PODOC
- SLT_RPLD_PODOC
- STAGE2_RPLD_POITEM
- SLT_RPLD_POITEM
- STAGE2_RPLD_SCHEDLINE
- SLT_RPLD_SCHEDLINE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_ORD_CREATIONDT
- SLT_ORD_CREATIONDT
- STAGE2_ORD_CREATEDBY
- SLT_ORD_CREATEDBY
- STAGE2_SALESGROUP
- SLT_SALESGROUP
- STAGE2_DELIVERY_DT
- SLT_DELIVERY_DT
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_SUPPLIER
- SLT_SUPPLIER
- STAGE2_QUANTITY
- SLT_QUANTITY
- QUANTITY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE2_DOCUMENT_CNT
- SLT_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- STAGE2_RPLD_SODOC
- SLT_RPLD_SODOC
- STAGE2_RPLD_SOITEM
- SLT_RPLD_SOITEM
- STAGE2_RPLD_SCHEDLINE
- SLT_RPLD_SCHEDLINE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_ORD_CREATIONDT
- SLT_ORD_CREATIONDT
- STAGE2_CUSTOMER
- SLT_CUSTOMER
- STAGE2_DELIVERY_DT
- SLT_DELIVERY_DT
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_QTY
- SLT_QTY
- QTY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE2_DOCUMENT_CNT
- SLT_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- STAGE2_REPLICATED_CIDOC
- SLT_REPLICATED_CIDOC
- STAGE2_REPLICATED_CIITEM
- SLT_REPLICATED_CIITEM
- STAGE2_BILLINGDATE
- SLT_BILLINGDATE
- STAGE2_CREATIONDATE
- SLT_CREATIONDATE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_SOLDTOPARTY
- SLT_SOLDTOPARTY
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_BILLINGQUANTITY
- SLT_BILLINGQUANTITY
- BILLINGQUANTITY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE2_DOCUMENT_CNT
- SLT_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- STAGE2_REPLICATED_SIDOC
- SLT_REPLICATED_SIDOC
- STAGE2_REPLICATED_SIITEM
- SLT_REPLICATED_SIITEM
- STAGE2_DOCUMENTDATE
- SLT_DOCUMENTDATE
- STAGE2_CREATIONDATE
- SLT_CREATIONDATE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_INVOICINGPARTY
- SLT_INVOICINGPARTY
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_QUANTITY
- SLT_QUANTITY
- QUANTITY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
- STAGE2_DOCUMENT_CNT
- SLT_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Level-3 Report (Detail)
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- STAGE2_RPLD_PODOC
- SLT_RPLD_PODOC
- STAGE2_RPLD_POITEM
- SLT_RPLD_POITEM
- STAGE2_RPLD_SCHEDLINE
- SLT_RPLD_SCHEDLINE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_ORD_CREATIONDT
- SLT_ORD_CREATIONDT
- STAGE2_ORD_CREATEDBY
- SLT_ORD_CREATEDBY
- STAGE2_SALESGROUP
- SLT_SALESGROUP
- STAGE2_DELIVERY_DT
- SLT_DELIVERY_DT
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_SUPPLIER
- SLT_SUPPLIER
- STAGE2_QUANTITY
- SLT_QUANTITY
- QUANTITY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- STAGE2_RPLD_SODOC
- SLT_RPLD_SODOC
- STAGE2_RPLD_SOITEM
- SLT_RPLD_SOITEM
- STAGE2_RPLD_SCHEDLINE
- SLT_RPLD_SCHEDLINE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_ORD_CREATIONDT
- SLT_ORD_CREATIONDT
- STAGE2_CUSTOMER
- SLT_CUSTOMER
- STAGE2_DELIVERY_DT
- SLT_DELIVERY_DT
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_QTY
- SLT_QTY
- QTY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- STAGE2_REPLICATED_CIDOC
- SLT_REPLICATED_CIDOC
- STAGE2_REPLICATED_CIITEM
- SLT_REPLICATED_CIITEM
- STAGE2_BILLINGDATE
- SLT_BILLINGDATE
- STAGE2_CREATIONDATE
- SLT_CREATIONDATE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_SOLDTOPARTY
- SLT_SOLDTOPARTY
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_BILLINGQUANTITY
- SLT_BILLINGQUANTITY
- BILLINGQUANTITY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- STAGE2_REPLICATED_SIDOC
- SLT_REPLICATED_SIDOC
- STAGE2_REPLICATED_SIITEM
- SLT_REPLICATED_SIITEM
- STAGE2_DOCUMENTDATE
- SLT_DOCUMENTDATE
- STAGE2_CREATIONDATE
- SLT_CREATIONDATE
- STAGE2_COMPANYCODE
- SLT_COMPANYCODE
- STAGE2_INVOICINGPARTY
- SLT_INVOICINGPARTY
- STAGE2_PLANT
- SLT_PLANT
- STAGE2_MATERIAL
- SLT_MATERIAL
- STAGE2_UOM
- SLT_UOM
- STAGE2_CURRENCY
- SLT_CURRENCY
- STAGE2_QUANTITY
- SLT_QUANTITY
- QUANTITY_VARIANCE
- STAGE2_NETAMOUNT
- SLT_NETAMOUNT
- NETAMOUNT_VARIANCE
Level-4 Report
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- SLT_RPLD_PODOC
- CFIN_RPLD_PODOC
- SLT_RPLD_POITEM
- CFIN_RPLD_POITEM
- SLT_RPLD_SCHEDLINE
- CFIN_RPLD_SCHEDLINE
- SLT_COMPANYCODE
- CFIN_COMPANYCODE
- SLT_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SLT_ORD_CREATEDBY
- CFIN_ORD_CREATEDBY
- SLT_DELIVERY_DT
- CFIN_DELIVERY_DT
- SLT_SALESGROUP
- CFIN_SALESGROUP
- SLT_MATERIAL
- CFIN_MATERIAL
- SLT_PLANT
- CFIN_PLANT
- SLT_UOM
- CFIN_UOM
- SLT_CURRENCY
- CFIN_CURRENCY
- SLT_SUPPLIER
- CFIN_SUPPLIER
- SLT_QUANTITY
- CFIN_TRGT_QTY
- QTY_VARIANCE
- SLT_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- SLT_RPLD_SODOC
- CFIN_RPLD_SODOC
- SLT_RPLD_SOITEM
- CFIN_RPLD_SOITEM
- SLT_RPLD_SCHEDLINE
- CFIN_RPLD_SCHEDLINE
- SLT_COMPANYCODE
- CFIN_COMPANYCODE
- SLT_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SLT_CUSTOMER
- CFIN_CUSTOMER
- SLT_MATERIAL
- CFIN_MATERIAL
- SLT_PLANT
- CFIN_PLANT
- SLT_UOM
- CFIN_UOM
- SLT_CURRENCY
- CFIN_CURRENCY
- SLT_QTY
- CFIN_QTY
- QTY_VARIANCE
- SLT_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SLT_DOC_CNT
- CFIN_DOC_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- SLT_REPLICATED_CIDOC
- CFIN_REPLICATED_CIDOC
- SLT_REPLICATED_CIITEM
- CFIN_REPLICATED_CIITEM
- SLT_BILLINGDATE
- CFIN_BILLINGDATE
- SLT_COMPANYCODE
- CFIN_COMPANYCODE
- SLT_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SLT_SOLDTOPARTY
- CFIN_SOLDTOPARTY
- SLT_MATERIAL
- CFIN_MATERIAL
- SLT_PLANT
- CFIN_PLANT
- SLT_UOM
- CFIN_UOM
- SLT_CURRENCY
- CFIN_CURRENCY
- SLT_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SLT_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SLT_DOC_CNT
- CFIN_DOC_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- SLT_REPLICATED_SIDOC
- CFIN_REPLICATED_SIDOC
- SLT_REPLICATED_SIITEM
- CFIN_REPLICATED_SIITEM
- SLT_DOCUMENTDATE
- CFIN_DOCUMENTDATE
- SLT_CREATIONDATE
- CFIN_CREATIONDATE
- SLT_COMPANYCODE
- CFIN_COMPANYCODE
- SLT_INVOICINGPARTY
- CFIN_INVOICINGPARTY
- SLT_PLANT
- CFIN_PLANT
- SLT_MATERIAL
- CFIN_MATERIAL
- SLT_UOM
- CFIN_UOM
- SLT_CURRENCY
- CFIN_CURRENCY
- SLT_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SLT_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SLT_DOC_CNT
- CFIN_DOC_CNT
- DOC_CNT_VARIANCE
Level-5 Report (Summary)
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- SOURCE_RPLD_PODOC
- CFIN_RPLD_PODOC
- SOURCE_RPLD_POITEM
- CFIN_RPLD_POITEM
- SOURCE_RPLD_SCHEDLINE
- CFIN_RPLD_SCHEDLINE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SOURCE_ORD_CREATEDBY
- CFIN_ORD_CREATEDBY
- SOURCE_DELIVERY_DT
- CFIN_DELIVERY_DT
- SOURCE_SALESGROUP
- CFIN_SALESGROUP
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_SUPPLIER
- CFIN_SUPPLIER
- SOURCE_QTY
- CFIN_QTY
- QTY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- CFIN_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- SOURCE_RPLD_SODOC
- CFIN_RPLD_SODOC
- SOURCE_RPLD_SOITEM
- CFIN_RPLD_SOITEM
- SOURCE_RPLD_SCHEDLINE
- CFIN_RPLD_SCHEDLINE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SOURCE_CUSTOMER
- CFIN_CUSTOMER
- SOURCE_DELIVERY_DT
- CFIN_DELIVERY_DT
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_QTY
- CFIN_QTY
- QTY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- CFIN_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- SOURCE_REPLICATED_CIDOC
- CFIN_REPLICATED_CIDOC
- SOURCE_REPLICATED_CIITEM
- CFIN_REPLICATED_CIITEM
- SOURCE_BILLINGDATE
- CFIN_BILLINGDATE
- SOURCE_CREATIONDATE
- CFIN_CREATIONDATE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_SOLDTOPARTY
- CFIN_SOLDTOPARTY
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- CFIN_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- SOURCE_REPLICATED_SIDOC
- CFIN_REPLICATED_SIDOC
- SOURCE_REPLICATED_SIITEM
- CFIN_REPLICATED_SIITEM
- SOURCE_DOCUMENTDATE
- CFIN_DOCUMENTDATE
- SOURCE_CREATIONDATE
- CFIN_CREATIONDATE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_INVOICINGPARTY
- CFIN_INVOICINGPARTY
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
- SOURCE_DOCUMENT_CNT
- CFIN_DOCUMENT_CNT
- DOC_CNT_VARIANCE
Level-5 Report (Detail)
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Purchase Order (PO) object:
- SOURCE_RPLD_PODOC
- CFIN_RPLD_PODOC
- SOURCE_RPLD_POITEM
- CFIN_RPLD_POITEM
- SOURCE_RPLD_SCHEDLINE
- CFIN_RPLD_SCHEDLINE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SOURCE_ORD_CREATEDBY
- CFIN_ORD_CREATEDBY
- SOURCE_DELIVERY_DT
- CFIN_DELIVERY_DT
- SOURCE_SALESGROUP
- CFIN_SALESGROUP
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_SUPPLIER
- CFIN_SUPPLIER
- SOURCE_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Order (CO) object:
- SOURCE_RPLD_SODOC
- CFIN_RPLD_SODOC
- SOURCE_RPLD_SOITEM
- CFIN_RPLD_SOITEM
- SOURCE_RPLD_SCHEDLINE
- CFIN_RPLD_SCHEDLINE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_ORD_CREATIONDT
- CFIN_ORD_CREATIONDT
- SOURCE_CUSTOMER
- CFIN_CUSTOMER
- SOURCE_DELIVERY_DT
- CFIN_DELIVERY_DT
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_QTY
- CFIN_QTY
- QTY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Customer Invoice (CI) object:
- SOURCE_REPLICATED_CIDOC
- CFIN_REPLICATED_CIDOC
- SOURCE_REPLICATED_CIITEM
- CFIN_REPLICATED_CIITEM
- SOURCE_BILLINGDATE
- CFIN_BILLINGDATE
- SOURCE_CREATIONDATE
- CFIN_CREATIONDATE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_SOLDTOPARTY
- CFIN_SOLDTOPARTY
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
Measures and attributes for the Accounting View of Logistics (AVL) data related to the Supplier Invoice (SI) object:
- SOURCE_REPLICATED_SIDOC
- CFIN_REPLICATED_SIDOC
- SOURCE_REPLICATED_SIITEM
- CFIN_REPLICATED_SIITEM
- SOURCE_DOCUMENTDATE
- CFIN_DOCUMENTDATE
- SOURCE_CREATIONDATE
- CFIN_CREATIONDATE
- SOURCE_COMPANYCODE
- CFIN_COMPANYCODE
- SOURCE_INVOICINGPARTY
- CFIN_INVOICINGPARTY
- SOURCE_PLANT
- CFIN_PLANT
- SOURCE_MATERIAL
- CFIN_MATERIAL
- SOURCE_UOM
- CFIN_UOM
- SOURCE_CURRENCY
- CFIN_CURRENCY
- SOURCE_QUANTITY
- CFIN_QUANTITY
- QUANTITY_VARIANCE
- SOURCE_NETAMOUNT
- CFIN_NETAMOUNT
- NETAMOUNT_VARIANCE
Exception Report
The Exception report provides information about the documents that cannot be posted into SAP S/4HANA due to exceptions. The exceptions occur if the documents do not meet the following validations of Transaction when they are posted from your source system into SAP S/4HANA:
- Sum of credit and debit amounts in documents must be equal to zero.
- The following mandatory columns must not be null:
- Unique ID
- Effective date
- Posted date
- Vendor number/customer number
- Fiscal year
- Currency code
- Document type
- Accounting document number
- Accounting logical system
- GL account number
- Company code
- Documents with lines in
FIN_PRDTAXmust contain the corresponding tax codes inFIN_ACCT. - The tax amounts in documents should be less than the taxable amounts.
- Documents with lines in
FIN_WHTAXmust contain the corresponding lines inFIN_CREDIT. - Documents with lines in
FIN_CREDITandFIN_PRDTAXmust contain the corresponding lines inFIN_ACCT.
The Error Date, Error Description, and Error Location fields in the report show the exception details. A screenshot of the Exception report is as follows.
ECC GL Balance Conversion Report
The SAP ECC GL Balance Conversion report compares the GL account balance between the source system and SAP S/4HANA. The balance includes the conversion beginning balance, net credit posting, net debit posting, and ending balance for a period.
To access the report, provide values for the following prompts:
Source LedgerSource Company CodeStatement TypeSource Fiscal YearSource Fiscal Period FromSource Fiscal Period To
A screenshot of the ECC GL Balance Conversion report is as follows.
insightsoftware Reconciliation Dashboard
The insightsoftware Reconciliation dashboard is based on the Reconciliation Level - 5 Summary report and shows data for all locations except "GL Balance" and "AP/AR Bal".
To access the dashboard
- Log on to SAP Fiori with your SAP GUI user credentials. The SAP Fiori launchpad displays the home page with tiles pertaining to your role.
- On the menu, locate and select the insightsoftware Dashboard Apps group. The insightsoftware Dashboard Overview Page appears.
The dashboard provides information on the unreconciled group currency amount, unreconciled document, and unreconciled quantity, by the following attributes:
- Ledger: Indicates the ledger in the SAP Central Finance Master Data Replication by insightsoftware for SAP S/4HANA Central Finance system.
- Processing Status: Indicates whether records are AIF In Process, AIF Application Error, AIF Technical Error, In Process, or Successfully processed. When financial records initially show errors during AIF processing, they automatically appear in reports once the errors are corrected and the records are reprocessed. The incremental refresh capability eliminates the need for full job reruns.
-
Age Range: Indicates the age range that is calculated using the formula,
Source Document Posted Date–Current Date. As an administrator, you can configure the following age range attributes:- Age Range Name: Indicates the age range, such as 0-7 or 8-14.
- Age Days From: Indicates the beginning of the age range in days, such as 0 or 8.
- Age Days To: Indicates the end of the age range in days, such as 7 or 14.
Also, the dashboard displays the total group currency amount, total number of documents, and total quantity.
Optionally, provide values for the following prompts:
Source SystemSource Company CodeSource Fiscal YearSource Fiscal PeriodAge Range-
Week(Week number in the Source Fiscal Period based on Source Document Posted Date)
A screenshot of the Reconciliation dashboard is as follows.
The dashboard displays data pertaining to the following columns in the Reconciliation Level - 5 Summary report:
- Group Amount Variance
- Group Amount
- Total Units Variance
- Total Units
- Document Count Variance
- Document Count
The dashboard consists of the following cards:
-
Percent Reconciled: In this card, you can see the following measures based on the filters you have applied:
-
Group Currency Amount
- $ Value Unreconciled: Displays the sum of the Group Amount Variance
- Total: Displays the sum of the Group Amount
- Bar: Displays the percentage of the Group Amount Variance by the Total Group Amount
-
Quantity
- Qty Value Unreconciled: Displays the Total Units Variance
- Total: Displays the Total Units
- Bar: Displays the percentage of the Total Units Variance by the Total Units
-
Count
- Total Transactions Unreconciled: Displays the sum of the Document Count Variance
- Total: Displays the sum of the Document Count
- Bar: Displays the percentage of the Document Count Variance by the Document Count
A sample screenshot of the Percent Reconciled card is as follows.
-
Group Currency Amount
-
Unreconciled Count by Processing Status:
This bar chart card displays the Document Count Variance on the vertical axis by the Processing Status on the horizontal axis based on the filters you have applied. A sample screenshot is as follows.
-
Unreconciled Quantity by Processing Status: This bar chart card displays the Total Units Variance on the vertical axis by the Processing Status on the horizontal axis based on the filters you have applied. A sample screenshot is as follows.
-
Unreconciled Group Currency Amount by Processing Status: This bar chart card displays the Group Amount Variance on the vertical axis by the Processing Status on the horizontal axis based on the filters you have applied. A sample screenshot is as follows.
-
Unreconciled Count by Ledger: This bar chart card displays the Document Count Variance on the vertical axis by the Ledger on the horizontal axis based on the filters you have applied. A sample screenshot is as follows.
-
Unreconciled Quantity by Ledger: This bar chart card displays the Total Units Variance on the vertical axis by the Ledger on the horizontal axis based on the filters you have applied. A sample screenshot is as follows.
-
Unreconciled Group Currency Amount by Ledger: This bar chart card displays the Group Amount Variance on the vertical axis by the Ledger on the horizontal axis based on the filters you have applied. A sample screenshot is as follows.
-
Unreconciled Count Aging: This donut chart card displays the Document Count Variance by the Age Range based on the filters you have applied. The age ranges are indicated through different colors. A sample screenshot is as follows.
-
Unreconciled Quantity Aging: This donut chart card displays the Total Units Variance by the Age Range based on the filters you have applied. The age ranges are indicated through different colors. A sample screenshot is as follows.
-
Unreconciled Group Currency Amount Aging: This donut chart card displays the Group Amount Variance by the Age Range based on the filters you have applied. The age ranges are indicated through different colors. A sample screenshot is as follows.