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Attributes

A number of attributes are created during setup to support configuration. Attributes specified with (X) indicate that multiple similar attributes exist, with the (X) being replaced by the dimension number.

Class

Attribute

Use

SYMBOL

AZCFCalcTrn

Specifies if the cash flow account will be calculated using the period average rate or calculated by the source translated value.

SYMBOL

AZCFDataViewCFBSource

Specifies the source cash flow basis dataview if cash flow calculations need to be performed across multiple symbols in the dataviews dimension.

SYMBOL

AZCFImpact

Configure the impact of the source account on cash flow (+ or -).

SYMBOL

AZCFSourceAccount

Specifies the source trial balance account for a calculated cash flow account. For a roll forward source, specifies the roll forward change detail to use for the calculated cash flow account.

SYMBOL

AZCFSourceRollForward

Specifies the source roll forward for a calculated cash flow account based on roll forward details.

SYMBOL

AZEQPTargetAccountBS

Specifies the equity pickup target balance sheet account to use for a subsidiary entity.

SYMBOL

AZEQPTargetAccountNI

Specifies the equity pickup target net income account to use for a subsidiary entity.

SYMBOL

AZEQPTargetEntity

Specifies the equity pickup target entity for a subsidiary entity.

SYMBOL

AZEventD(X)TriggerRoot

Species the root symbol in each dimension that a specific event can be manually triggered on.

SYMBOL

AZNCITargetAccountBS

Specifies the non-controlling interests target balance sheet account to use for a subsidiary entity.

SYMBOL

AZNCITargetAccountNI

Specifies the non-controlling interests target net income account to use for a subsidiary entity.

SYMBOL

AZNCITargetEntity

Specifies the non-controlling interests target entity for a subsidiary entity.

SYMBOL

AZPatternCopy

Indicates whether the pattern values are copied forward when a new year is created.

SYMBOL

AZPLVBAccountsSource

Specifies the source Income Statement account for a calculated P&L variance account.

SYMBOL

AZPLVBActualAcqDate

Specifies the P&L variance actual acquisition date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBActualDispDate

Specifies the P&L variance actual disposal date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBBaseAcqDate

Specifies the base acquisition date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBBaseDispDate

Specifies the base disposal date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBBudgetAcqDate

Specifies the P&L variance budget acquisition date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBBudgetDispDate

Specifies the P&L variance budget disposal date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBCalcMethod

Specifies the calculation method to be used for the P&L variance bridge dataviews:

  • SYSTEM - For system calculated P&L variance bridge dataviews.
  • MANUAL - For P&L variance bridge dataviews that will require manual input.
  • <Custom Calculation Name> - for P&L variance bridge dataviews that will require a custom calculation. For custom calculated P&L dataviews, a configuration library with the same name as the custom calculation will be required.

SYMBOL

AZPLVBCompareAcqDate

Specifies the compare acquisition date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBCompareDispDate

Specifies the compare disposal date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBForecastAcqDate

Specifies the P&L variance forecast acquisition date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBForecastDispDate

Specifies the P&L variance forecast disposal date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBScenariosBase

Specifies the base scenario associated with a variance scenario.

SYMBOL

AZPLVBScenariosComparison

Specifies the comparison scenario associated with a variance scenario.

SYMBOL

AZPLVBTimePeriodsBase

Specifies the base time period associated with a variance scenario.

SYMBOL

AZPLVBScenariosComparison

Specifies the comparison time period associated with a variance scenario.

SYMBOL

AZRFNoInput

Specifies the roll forward change details that should be blocked from input for a specific roll forward account.

SYMBOL

AZRFSourceAccount

Specifies the source trial balance account for roll forward detail input.

SYMBOL

AZROOpenAccount

Specifies the target account to hold the open balance when a continuity year end balance is rolled to the next open period.

SYSTEM

ASAllocRuleDim

Specifies the dimension that will contain the allocation target symbols.

SYSTEM

ASAllocRuleParent

Specifies the symbol in the allocation rule dimension (ASAllocRuleParent) that will contain the allocation target symbols.

SYSTEM

ASCFAccountsCash

Specifies any cash or overdraft accounts that will be used to calculate beginning cash.

SYSTEM

ASCFAccountsSource

Specifies any additional account structures outside of the Trial Balance structure that can be used as a source account for calculated cash flow accounts.

SYSTEM

ASCFActivity

Specifies the Cash Flow Activity Account.

SYSTEM

ASCFD(X)Source

Specifies the source symbol for cash flow calculations in customer specific dimension X.

SYSTEM

ASCFD(X)Target

Specifies the target symbol for cash flow calculations in customer specific dimension X.

SYSTEM

ASCFEnding

Specifies the Cash Flow Ending Cash account.

SYSTEM

ASCFFinancing

Specifies the Cash Flows from Financing Activities account.

SYSTEM

ASCFFX

Specifies the Cash Flow Effect of Exchange Rate Changes account.

SYSTEM

ASCFInvesting

Specifies the Cash Flows from Investing Activities account.

SYSTEM

ASCFOperating

Specifies the Cash Flows from Operating Activities account.

SYSTEM

ASCFRoot

Specifies the Cash Flow Root account.

SYSTEM

ASCFStatement

Specifies the Cash Flow Statement account.

SYSTEM

ASElimD(X)ReportingRoots

Specifies the root symbols available for elimination reporting in dimension X.

SYSTEM

ASElimEntityReportingRoots

Specifies the elimination entities available for selection in elimination reports.

SYSTEM

ASFiscalYearStart

Specifies the first month of the fiscal year.

SYSTEM

ASGPBudgetQuarter

Specifies the current budget quarter.

SYSTEM

ASGPBudgetYear

Specifies the current budget year

SYSTEM

ASGPBudgetYTDPeriod

Specifies the current year-to-date budget period.

SYSTEM

ASGPCurrentBudgetPAPeriod

Specifies the current period activity budget period.

SYSTEM

ASGPCurrentForecastPAPeriod

Specifies the current period activity forecast period.

SYSTEM

ASGPCurrentPAPeriod

Specifies the current period activity period.

SYSTEM

ASGPCurrentQuarter

Specifies the current quarter.

SYSTEM

ASGPCurrentYear

Specifies the current year.

SYSTEM

ASGPForecastQuarter

Specifies the current forecast quarter.

SYSTEM

ASGPForecastYear

Specifies the current forecast year.

SYSTEM

ASGPForecastYTDPeriod

Specifies the current year-to-date forecast period.

SYSTEM

ASGPPreviousBudgetPAPeriod

Specifies the previous budget period activity period.

SYSTEM

ASGPPreviousBudgetQuarter

Specifies the previous budget quarter.

SYSTEM

ASGPPreviousBudgetYTDPeriod

Specifies the previous budget year-to-date period.

SYSTEM

ASGPPreviousForecastPAPeriod

Specifies the previous forecast period activity period.

SYSTEM

ASGPPreviousForecastQuarter

Specifies the previous forecast quarter.

SYSTEM

ASGPPreviousForecastYTDPeriod

Specifies the previous forecast year-to-date period.

SYSTEM

ASGPPreviousPAPeriod

Specifies the previous period activity period.

SYSTEM

ASGPPreviousQuarter

Specifies the previous quarter.

SYSTEM

ASGPPreviousYTDPeriod

Specifies the previous year-to-date period.

SYSTEM

ASGPPriorYear

Specifies the prior year.

SYSTEM

ASGPPriorYearBudget

Specifies the prior budget year.

SYSTEM

ASGPPriorYearForecast

Specifies the prior forecast year.

SYSTEM

ASGPPriorYrBudgetPAPeriod

Specifies the prior year budget year-to-date period.

SYSTEM

ASGPPriorYrBudgetQuarter

Specifies the prior year budget quarter.

SYSTEM

ASGPPriorYrBudgetYTDPeriod

Specifies the prior year budget year-to-date period.

SYSTEM

ASGPPriorYrForecastPAPeriod

Specifies the prior year forecast period activity period.

SYSTEM

ASGPPriorYrForecastQuarter

Specifies the prior year forecast quarter.

SYSTEM

ASGPPriorYrForecastYTDPeriod

Specifies the prior year forecast year to date period.

SYSTEM

ASGPPriorYrPAPeriod

Specifies the prior year equivalent of the current period activity period.

SYSTEM

ASGPPriorYrQuarter

Specifies the prior year equivalent of the current quarter.

SYSTEM

ASGPPriorYrYTDPeriod

Specifies the prior year equivalent of the current year-to-date period.

SYSTEM

ASICD(X)Input

Specifies the symbols available for intercompany input in customer specific dimension X.

SYSTEM

ASNCID(X)Target

Specifies the target symbol for non-controlling interests calculation in customer specific dimension X.

SYSTEM

ASPLVBAcqDispDimensions

Specifies the list of dimensions for P&L variance acquisitions or disposals.

SYSTEM

ASRFAccountsSource

Specifies any additional account structures outside of the Trial Balance structure that can be used as a source account for calculated roll forward accounts.

SYSTEM

ASRFInputMethod

Specifies whether roll forward input is done on a year to date (YTD) or period (PERIOD) basis. Default is YTD.

SYSTEM

ASTBAssets

Specifies the Trial Balance Assets account.

SYSTEM

ASTBBS

Specifies the Trial Balance Balance Sheet account.

SYSTEM

ASTBCA

Specifies the Trial Balance Current Assets account.

SYSTEM

ASTBCash

Specifies the Trial Balance Total Cash account.

SYSTEM

ASTBCI

Specifies the Trial Balance Comprehensive Income account.

SYSTEM

ASTBCL

Specifies the Trial Balance Current Liabilities account.

SYSTEM

ASTBD<?>Source

Specifies the Trial Balance Calculation Source for non standard dimensions.

SYSTEM

ASTBEquity

Specifies the Trial Balance Equity account.

SYSTEM

ASTBLiabilities

Specifies the Trial Balance Liability account.

SYSTEM

ASTBPL

Specifies the Trial Balance Profit (Loss) account.

SYSTEM

ASTBRoot

Specifies the Trial Balance Root account.

Published:

Attributes

A number of attributes are created during setup to support configuration. Attributes specified with (X) indicate that multiple similar attributes exist, with the (X) being replaced by the dimension number.

Class

Attribute

Use

SYMBOL

AZCFCalcTrn

Specifies if the cash flow account will be calculated using the period average rate or calculated by the source translated value.

SYMBOL

AZCFDataViewCFBSource

Specifies the source cash flow basis dataview if cash flow calculations need to be performed across multiple symbols in the dataviews dimension.

SYMBOL

AZCFImpact

Configure the impact of the source account on cash flow (+ or -).

SYMBOL

AZCFSourceAccount

Specifies the source trial balance account for a calculated cash flow account. For a roll forward source, specifies the roll forward change detail to use for the calculated cash flow account.

SYMBOL

AZCFSourceRollForward

Specifies the source roll forward for a calculated cash flow account based on roll forward details.

SYMBOL

AZEQPTargetAccountBS

Specifies the equity pickup target balance sheet account to use for a subsidiary entity.

SYMBOL

AZEQPTargetAccountNI

Specifies the equity pickup target net income account to use for a subsidiary entity.

SYMBOL

AZEQPTargetEntity

Specifies the equity pickup target entity for a subsidiary entity.

SYMBOL

AZEventD(X)TriggerRoot

Species the root symbol in each dimension that a specific event can be manually triggered on.

SYMBOL

AZNCITargetAccountBS

Specifies the non-controlling interests target balance sheet account to use for a subsidiary entity.

SYMBOL

AZNCITargetAccountNI

Specifies the non-controlling interests target net income account to use for a subsidiary entity.

SYMBOL

AZNCITargetEntity

Specifies the non-controlling interests target entity for a subsidiary entity.

SYMBOL

AZPatternCopy

Indicates whether the pattern values are copied forward when a new year is created.

SYMBOL

AZPLVBAccountsSource

Specifies the source Income Statement account for a calculated P&L variance account.

SYMBOL

AZPLVBActualAcqDate

Specifies the P&L variance actual acquisition date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBActualDispDate

Specifies the P&L variance actual disposal date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBBaseAcqDate

Specifies the base acquisition date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBBaseDispDate

Specifies the base disposal date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBBudgetAcqDate

Specifies the P&L variance budget acquisition date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBBudgetDispDate

Specifies the P&L variance budget disposal date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBCalcMethod

Specifies the calculation method to be used for the P&L variance bridge dataviews:

  • SYSTEM - For system calculated P&L variance bridge dataviews.
  • MANUAL - For P&L variance bridge dataviews that will require manual input.
  • <Custom Calculation Name> - for P&L variance bridge dataviews that will require a custom calculation. For custom calculated P&L dataviews, a configuration library with the same name as the custom calculation will be required.

SYMBOL

AZPLVBCompareAcqDate

Specifies the compare acquisition date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBCompareDispDate

Specifies the compare disposal date attribute to use, depending on the scenario base and comparison time frames

SYMBOL

AZPLVBForecastAcqDate

Specifies the P&L variance forecast acquisition date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBForecastDispDate

Specifies the P&L variance forecast disposal date. This must be set on a dimension symbol listen in the system attribute ASPLVBAcqDispDimensions.

SYMBOL

AZPLVBScenariosBase

Specifies the base scenario associated with a variance scenario.

SYMBOL

AZPLVBScenariosComparison

Specifies the comparison scenario associated with a variance scenario.

SYMBOL

AZPLVBTimePeriodsBase

Specifies the base time period associated with a variance scenario.

SYMBOL

AZPLVBScenariosComparison

Specifies the comparison time period associated with a variance scenario.

SYMBOL

AZRFNoInput

Specifies the roll forward change details that should be blocked from input for a specific roll forward account.

SYMBOL

AZRFSourceAccount

Specifies the source trial balance account for roll forward detail input.

SYMBOL

AZROOpenAccount

Specifies the target account to hold the open balance when a continuity year end balance is rolled to the next open period.

SYSTEM

ASAllocRuleDim

Specifies the dimension that will contain the allocation target symbols.

SYSTEM

ASAllocRuleParent

Specifies the symbol in the allocation rule dimension (ASAllocRuleParent) that will contain the allocation target symbols.

SYSTEM

ASCFAccountsCash

Specifies any cash or overdraft accounts that will be used to calculate beginning cash.

SYSTEM

ASCFAccountsSource

Specifies any additional account structures outside of the Trial Balance structure that can be used as a source account for calculated cash flow accounts.

SYSTEM

ASCFActivity

Specifies the Cash Flow Activity Account.

SYSTEM

ASCFD(X)Source

Specifies the source symbol for cash flow calculations in customer specific dimension X.

SYSTEM

ASCFD(X)Target

Specifies the target symbol for cash flow calculations in customer specific dimension X.

SYSTEM

ASCFEnding

Specifies the Cash Flow Ending Cash account.

SYSTEM

ASCFFinancing

Specifies the Cash Flows from Financing Activities account.

SYSTEM

ASCFFX

Specifies the Cash Flow Effect of Exchange Rate Changes account.

SYSTEM

ASCFInvesting

Specifies the Cash Flows from Investing Activities account.

SYSTEM

ASCFOperating

Specifies the Cash Flows from Operating Activities account.

SYSTEM

ASCFRoot

Specifies the Cash Flow Root account.

SYSTEM

ASCFStatement

Specifies the Cash Flow Statement account.

SYSTEM

ASElimD(X)ReportingRoots

Specifies the root symbols available for elimination reporting in dimension X.

SYSTEM

ASElimEntityReportingRoots

Specifies the elimination entities available for selection in elimination reports.

SYSTEM

ASFiscalYearStart

Specifies the first month of the fiscal year.

SYSTEM

ASGPBudgetQuarter

Specifies the current budget quarter.

SYSTEM

ASGPBudgetYear

Specifies the current budget year

SYSTEM

ASGPBudgetYTDPeriod

Specifies the current year-to-date budget period.

SYSTEM

ASGPCurrentBudgetPAPeriod

Specifies the current period activity budget period.

SYSTEM

ASGPCurrentForecastPAPeriod

Specifies the current period activity forecast period.

SYSTEM

ASGPCurrentPAPeriod

Specifies the current period activity period.

SYSTEM

ASGPCurrentQuarter

Specifies the current quarter.

SYSTEM

ASGPCurrentYear

Specifies the current year.

SYSTEM

ASGPForecastQuarter

Specifies the current forecast quarter.

SYSTEM

ASGPForecastYear

Specifies the current forecast year.

SYSTEM

ASGPForecastYTDPeriod

Specifies the current year-to-date forecast period.

SYSTEM

ASGPPreviousBudgetPAPeriod

Specifies the previous budget period activity period.

SYSTEM

ASGPPreviousBudgetQuarter

Specifies the previous budget quarter.

SYSTEM

ASGPPreviousBudgetYTDPeriod

Specifies the previous budget year-to-date period.

SYSTEM

ASGPPreviousForecastPAPeriod

Specifies the previous forecast period activity period.

SYSTEM

ASGPPreviousForecastQuarter

Specifies the previous forecast quarter.

SYSTEM

ASGPPreviousForecastYTDPeriod

Specifies the previous forecast year-to-date period.

SYSTEM

ASGPPreviousPAPeriod

Specifies the previous period activity period.

SYSTEM

ASGPPreviousQuarter

Specifies the previous quarter.

SYSTEM

ASGPPreviousYTDPeriod

Specifies the previous year-to-date period.

SYSTEM

ASGPPriorYear

Specifies the prior year.

SYSTEM

ASGPPriorYearBudget

Specifies the prior budget year.

SYSTEM

ASGPPriorYearForecast

Specifies the prior forecast year.

SYSTEM

ASGPPriorYrBudgetPAPeriod

Specifies the prior year budget year-to-date period.

SYSTEM

ASGPPriorYrBudgetQuarter

Specifies the prior year budget quarter.

SYSTEM

ASGPPriorYrBudgetYTDPeriod

Specifies the prior year budget year-to-date period.

SYSTEM

ASGPPriorYrForecastPAPeriod

Specifies the prior year forecast period activity period.

SYSTEM

ASGPPriorYrForecastQuarter

Specifies the prior year forecast quarter.

SYSTEM

ASGPPriorYrForecastYTDPeriod

Specifies the prior year forecast year to date period.

SYSTEM

ASGPPriorYrPAPeriod

Specifies the prior year equivalent of the current period activity period.

SYSTEM

ASGPPriorYrQuarter

Specifies the prior year equivalent of the current quarter.

SYSTEM

ASGPPriorYrYTDPeriod

Specifies the prior year equivalent of the current year-to-date period.

SYSTEM

ASICD(X)Input

Specifies the symbols available for intercompany input in customer specific dimension X.

SYSTEM

ASNCID(X)Target

Specifies the target symbol for non-controlling interests calculation in customer specific dimension X.

SYSTEM

ASPLVBAcqDispDimensions

Specifies the list of dimensions for P&L variance acquisitions or disposals.

SYSTEM

ASRFAccountsSource

Specifies any additional account structures outside of the Trial Balance structure that can be used as a source account for calculated roll forward accounts.

SYSTEM

ASRFInputMethod

Specifies whether roll forward input is done on a year to date (YTD) or period (PERIOD) basis. Default is YTD.

SYSTEM

ASTBAssets

Specifies the Trial Balance Assets account.

SYSTEM

ASTBBS

Specifies the Trial Balance Balance Sheet account.

SYSTEM

ASTBCA

Specifies the Trial Balance Current Assets account.

SYSTEM

ASTBCash

Specifies the Trial Balance Total Cash account.

SYSTEM

ASTBCI

Specifies the Trial Balance Comprehensive Income account.

SYSTEM

ASTBCL

Specifies the Trial Balance Current Liabilities account.

SYSTEM

ASTBD<?>Source

Specifies the Trial Balance Calculation Source for non standard dimensions.

SYSTEM

ASTBEquity

Specifies the Trial Balance Equity account.

SYSTEM

ASTBLiabilities

Specifies the Trial Balance Liability account.

SYSTEM

ASTBPL

Specifies the Trial Balance Profit (Loss) account.

SYSTEM

ASTBRoot

Specifies the Trial Balance Root account.

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