| Oracle financial Analyzer User's Guide Release 11i Part No. A87522-01 |
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Solving Data, 5 of 5
As an administrator, you can define a financial data item so that a solve or group solve runs whenever a user submits data associated with the financial data item to the shared database.
You choose Financial Data Item from the Maintain menu to set up the relationship between a financial data item and a solve or group solve. This opens the Maintain Financial Data Item dialog box, where you can select a financial data item and associate it with a solve definition or group solve definition. After you distribute the financial data item to the shared database, the specified solve or group will run automatically.
The following example shows the Financial Data Item dialog box for Actuals. In this example, the Profile to Solve box shows that a group solve definition, Actuals, is associated with the Actuals financial data item.
Each time a Budget workstation user submits data (or the case of an Analyst workstation user, saves data) for the financial data item, the software automatically initiates the appropriate solve definition or group solve definition to recalculate the data.
The dimension values in status when the solve or group solve takes place is determined by the intersection of the submit status and the solve definition status.
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