Setting up calendar level values

Set calendar level values by running the Rebuild Period Cross Reference action. Reload the cubes after running the action to display the values.

  1. Sign in as Application Administrator and select Financials > Global Ledger > Setup > Finance Enterprise Group > Maintenance.
  2. Open a Finance Enterprise Group.
  3. Click Calendar.
  4. Open the Global Ledger Calendar.
  5. Select Actions > Rebuild Period Cross Reference.
  6. After running the action, select Administration Console > Analytic Cube.
  7. Reload cubes.
    Calendar level values are now correctly displayed.