Process Financial Statement Values (tffst1205m000)

Use this session to combine financial statement definitions with the financial values that were exported in the Export Financial Values (tffst1204m000) session. As a result, the Financial Statement Values (tffst300) table is filled. You can then view all statement details in the Financial Statement Values (tffst3500m000) session.

If you select the Export Financial Statement Account Structure check box while running the Process Financial Statement Values (tffst1205m000) session, the parent-child structure of the financial statement is simultaneously exported. You must only select this check box if you process the financial statement for the first time, or if the statement account structure was changed since the last export.

After you have run the Process Financial Statement Values (tffst1205m000) session, and the statement account structure is also exported, you can initiate a report from the reporting tables by using an external report writer, and access all financial statements that were selected in this session.

Field Information

Settings
Data-source

Specify whether the actual data is used (from the history data), the budget data, or both.

Period Type

Select the period type that you want to use to process financial values.

Note: This field is only available if Data-source is set to Actual or Both.
Selection Range
Use Job Reference Date

If this check box is selected, Infor LN uses the job reference date to process the financial statement definitions with the financial values that are exported from Financials .

Job Reference Date

The date and time when the financial statement values that are exported from Financials are processed.

Note: This field is enabled only if the Use Job Reference Date check box is selected.
Financial Statement

The range of financial statements for which you want to process the financial statement values.

Budget

The range of budgets for which you want to process the financial statement values.

Year/Period

The range of time in the export selection.

Financial Company

The range of companies in the export selection. You can process the values of a range of companies that belong to the same group company.

Selection
Rate Date

The date used to read the exhange rates.

Export Options
Export Financial Statement Account Structure

If this check box is selected, the financial statement accounts structure is exported.

You only need to select this check box if you process the financial statement for the first time, or if you changed the statement account structure after the last export.

LN exports the financial statement accounts structure from the financial statement accounts definition to the Financial Statements reporting tables.

Export Ledger Account Hierarchy

To export the ledger account hierarchy from the chart of accounts to the Financial Statements reporting tables, select this check box.

LN exports all ledger account hierarchies for the selected range of companies. If you want to export a selected range of ledger account hierarchies, you can use the Export Ledger Account Hierarchy (tffst1230m000) session.

The exported hierarchy can be used together with the financial values and financial statement account hierarchy to create reports along the ledger account hierarchy.

Export Dimension Hierarchy

To export the dimension hierarchies from the dimension master to the Financial Statements reporting tables, select this check box.

LN exports all dimension hierarchies for the selected range of companies. If you want to export a selected range of dimension hierarchies, you can use the Export Dimension Hierarchy (tffst1240m000) session.

The exported hierarchies can be used with the financial values to create reports along the dimension hierarchies.

Options
Include Zero Amounts

If this check box is selected, LN processes values with zero amounts.