Entity Audit Trail
Select
and then select one of these reports:- Entity Audit Trail Assets
- Entity Audit Trail Liabilities
- Entity Audit Trail Income Statement
In the Entity Audit Trail reports, you can view an entity's account data in the local currency within a specified context. The data is grouped into different levels, which enables you to identify where the data comes from. If an account is created with the use of Journal Management or by the journal rollover process, then you can drill through account values to view the details of journals. A drill-through to journals is possible even if an account value is 0. That can occur when an aggregated debit equals an aggregated credit in posted journals on a selected account.
By right-clicking a value in any column of the report, you can select the
option. This option provides details about the source of a cell value such as a cube name, coordinates, and whether the cell is rule-calculated, entered, or aggregated. You can switch between captions and their technical names by clicking and selecting the appropriate option. By clicking , you can view and then copy the displayed value source information.