Distributing schedule details
By default, the option to distribute schedule details is disabled in the configuration of Core Consolidation in Business Modeling. When enabled, the option is displayed in the navigation panel and on the Trial Balance card. Check rules and, for each main schedule, the default detail element for detail distribution are created. The Manual Detail Distribution adjustment level is also created.
Schedule detail distribution is useful if you do not use schedules during the year and distribute the differences at the end of the year. Or, if you do not have schedule detail information from the source system and distribute the details later in the year.
With this option enabled, you always import the closing balances of group accounts that have schedule details without those details, with partly delivered details, or with a full set of details without the opening balance. You can distribute the remaining schedule details at a later point in time. Or, you can distribute the schedules before you import the finance data. In this case, do not change the already distributed schedules.
When the option to distribute schedule details is enabled, these changes apply to the data import and processing:
- Closing balances are required in every import. You can't import schedule details without the corresponding closing balance for the same context. Otherwise, an error occurs.
- At the imported data level, undistributed amounts are calculated as the difference between the closing balance and the total of all detail amounts, including opening balances.
- The schedule alignment process isn't performed at the imported data level after import because the imported closing balance is treated as an authoritative value. This prevents schedule alignment from overwriting imported values.
These changes ensure that the imported closing balance is always the leading value and that schedule detail distribution is applied consistently to imported data.
If the option to distribute schedule details is disabled in Business Modeling, the option is not available in Financial Consolidation. Only members of the Consolidation Modeler and Business Modeling Administrator roles can disable the option to distribute schedule details.
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- L110310: FXDiff Balance
- L110320: FXDiff GuV
- L110511: Carry Forward Entity, Carry Forward Group, Retained Earnings - Profit, or Retained Earnings - Loss