General Actions:
This section lists the report extracts and provides a description of the extract, the filters that can be applied and the fields that will be returned.
There are two major groupings:
The tabular formats of the ‘Standard Report Extracts’ are explicitly designed to facilitate ease of analysis of core PECOS information. Utilising the reporting platform tool and also the standard Excel extracts, enables complex analysis and also allows merging of information with other data sources.
The parameters provided with the standard extracts are intended to return a useful subset of information for analysis.
These are the set of report extracts, designed to be run as required, to support organisations in managing the Administration/Configuration of their P2P Activity. The Audience is primarily administrators and auditors.
The following principles apply to the parameter filters for the Administrative transaction extracts:
The data is intended to be extracted at regular intervals (scheduled by the business) and presented as a table. This layout is intentionally designed to facilitate the Actuate report viewer to manipulate the data in the extract report and desktop tools such as EXCEL.
Master Report Extract | Description |
---|---|
Suppliers | An extract of supplier information which assists administrators manage the configuration of their organisational suppliers. |
Users | An extract of User information to assist the administrator in managing the configuration of users in their organisation. |
Users Group Assignments | An administrative extract of business rule and approval rule groups for which individual users are a member, to assist the administrator in managing the configuration of user rights, roles and permissions. |
These are the set of report extracts, designed to be run at regular intervals, to support organisations create appropriate reporting suites for their own business customers.
The following principles apply to the parameter filters for the Business transaction extracts:
The data is intended to be extracted at regular intervals (scheduled by the business) and presented as a table. This layout is intentionally designed to facilitate the Actuate Report viewer to manipulate the data in the extract report and desktop tools such as Excel.
Master Report Extract | Description |
---|---|
Order Level Transactions | Order version header summary records whose dimensions are the buying organisation and person responsible for the orders and suppliers. Its intention is to allow the organisation to understand the volume and value of the orders being processed within their organisation. The records have order versions to help analyse the variance of committed order values between the versions of the same order. |
Order Lines Transactions | Order version lines summary records whose dimensions are the buying organisation and person responsible for the orders/requests, commodity category and suppliers. The records have order versions to help analyse the variance of committed order values between the versions of the same order. |
Order Lines with Financial Transactions | Financial Tracking Code bookings against order version lines whose dimensions are the organisation, buyer and supplier. Each line booking can be split and therefore can appear more than once. The versions also deal with the variance of committed order values between the versions of the same order by posting reversals when the order is superseded. |
Receipt/Return Transactions | Records of receipts and returns against order lines whose dimensions are the requisitioner, receiver and supplier. |
Invoiced Order Lines with Financial Transaction | Financial Tracking Code bookings against invoice lines whose dimensions are the organisation, requisitioner and supplier, budget and account codes. |
This release offers the improvements for specifying the date range applicable for the extracting business transactions.
The example of the Order Level Extract parameters shows the two areas for entering the Date Range Criteria.
When specifying the date range parameters it does not make sense to request both a fixed and move-able date range, therefore the system will stop conflicting selections being run, producing a warning that allows the user to adjust the parameters.
NOTE: The simplified fixed date range entry has made the previous approach redundant, i.e. the entering a ‘number of days to extract’ and an ‘extract to and including date’.
The entry of the ‘Extract up to and including date’ is retained to support some backward compatibility but it is not the recommended approach.
The scheduling of reports allows the user to specify
For the business transactions the user needs to specify the date range for extracting relevant data.
For example
The first is an example of using a moveable date range the second use a fixed date range.
When data becomes available for reporting is a consideration for users specifying when to run a report and selecting the appropriate date range. The user should be aware when the latest data is extracted from the main system and passed into the reporting database. For most installations this is done overnight so the data for the previous day will not be available till the next day. E.g. an order issued on a Thursday will not be available to be reported on until the Friday.
Examples
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