Attribute | Description (where applicable) |
Aggregation of measures is based on SUM if not explicitly noted.
This section describes the basic measures in the cube. These are either measures defined in the core Information Source, in the model itself or in the ETL process. The columns have the following meaning:
Measure | Calculated Y/N | Contains Time Intelligence Y/N | Definition/Note (where applicable) | Aggregation Type | Hidden Y/N | Tabular Expression |
Acc Curr Amount | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Acc Currency Amount] ) | |
Acc Curr Amount With Tax | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Acc Currency Amount With Tax] ) | |
Cash Flow | Y | N | N | SWITCH([Selected Amount Measure], 1, [Acc Curr Amount With Tax], 2, [Acc Curr Amount], 3, [Trans Curr Amount With Tax], 4, [Trans Curr Amount], 5, [Rep 1 Curr Amount With Tax], 6, [Rep 1 Curr Amount], 7, [Rep 2 Curr Amount With Tax], 8, [Rep 2 Curr Amount], 9, [Rep 3 Curr Amount With Tax], 10, [Rep 3 Curr Amount] ) | ||
Cash Flow (Acc By All Time buckets) | Y | Y | N | VAR CurrentTimeBucket = SELECTEDVALUE('TIME BUCKET'[Time Bucket Code]) RETURN CALCULATE( [Cash Flow], 'TIME BUCKET'[Time Bucket Code] <= CurrentTimeBucket, ALL('TIME BUCKET') ) | ||
Cash Flow (Acc By Date) | Y | Y | N | VAR RunningTotal= CALCULATE( [Cash flow], FILTER(ALL('CASH FLOW PERIOD'), 'CASH FLOW PERIOD'[Cash Flow Date]<=MAX('CASH FLOW PERIOD'[Cash Flow Date]))) RETURN IF(COUNTROWS('CASH PLAN DETAILS'), RunningTotal) | ||
Cash Flow (Acc By Time bucket) | Y | Y | N | VAR RunningTotal= CALCULATE( [Cash flow], FILTER(ALL('TIME BUCKET'), 'TIME BUCKET'[Time Bucket Code]<=MAX('TIME BUCKET'[Time Bucket Code]))) RETURN IF(COUNTROWS('CASH PLAN DETAILS'), RunningTotal) | ||
Cash Flow (Ack By All Dates) | Y | Y | N | VAR MaxDate = MAX('CASH FLOW PERIOD'[Cash Flow Date]) RETURN CALCULATE( [Cash Flow], 'CASH FLOW PERIOD'[Cash Flow Date]<=MaxDate, ALL('CASH FLOW PERIOD') ) | ||
Inflow | Y | N | N | CALCULATE([Cash Flow],'INFLOW OUTFLOW'[Cash InFlow OutFlow Code]="IN") | ||
Inflow (Acc By All Time buckets) | Y | Y | N | VAR CurrentTimeBucket = SELECTEDVALUE('TIME BUCKET'[Time Bucket Code]) RETURN CALCULATE( [Inflow], 'TIME BUCKET'[Time Bucket Code] <= CurrentTimeBucket, ALL('TIME BUCKET') ) | ||
Inflow (Acc By Date) | Y | Y | N | VAR RunningTotal= CALCULATE( [Inflow], FILTER(ALL('CASH FLOW PERIOD'), 'CASH FLOW PERIOD'[Cash Flow Date]<=MAX('CASH FLOW PERIOD'[Cash Flow Date]))) RETURN IF(COUNTROWS('CASH PLAN DETAILS'), RunningTotal) | ||
Inflow (Acc By Time bucket) | Y | Y | N | VAR RunningTotal= CALCULATE( [Inflow], FILTER(ALL('TIME BUCKET'), 'TIME BUCKET'[Time Bucket Code]<=MAX('TIME BUCKET'[Time Bucket Code]))) RETURN IF(COUNTROWS('CASH PLAN DETAILS'), RunningTotal) | ||
Inflow (Ack By All Dates) | Y | Y | N | VAR MaxDate = MAX('CASH FLOW PERIOD'[Cash Flow Date]) RETURN CALCULATE( [Inflow], 'CASH FLOW PERIOD'[Cash Flow Date]<=MaxDate, ALL('CASH FLOW PERIOD') ) | ||
Outflow | Y | N | N | CALCULATE([Cash Flow]*-1,'INFLOW OUTFLOW'[Cash InFlow OutFlow Code]="OUT") | ||
Outflow (Acc By All Time buckets) | Y | Y | N | VAR CurrentTimeBucket = SELECTEDVALUE('TIME BUCKET'[Time Bucket Code]) RETURN CALCULATE( [Outflow], 'TIME BUCKET'[Time Bucket Code] <= CurrentTimeBucket, ALL('TIME BUCKET') ) | ||
Outflow (Acc By Date) | Y | Y | N | VAR RunningTotal= CALCULATE( [Outflow], FILTER(ALL('CASH FLOW PERIOD'), 'CASH FLOW PERIOD'[Cash Flow Date]<=MAX('CASH FLOW PERIOD'[Cash Flow Date]))) RETURN IF(COUNTROWS('CASH PLAN DETAILS'), RunningTotal) | ||
Outflow (Acc By Time bucket) | Y | Y | N | VAR RunningTotal= CALCULATE( [Outflow], FILTER(ALL('TIME BUCKET'), 'TIME BUCKET'[Time Bucket Code]<=MAX('TIME BUCKET'[Time Bucket Code]))) RETURN IF(COUNTROWS('CASH PLAN DETAILS'), RunningTotal) | ||
Outflow (Ack By All Dates) | Y | Y | N | VAR MaxDate = MAX('CASH FLOW PERIOD'[Cash Flow Date]) RETURN CALCULATE( [Outflow], 'CASH FLOW PERIOD'[Cash Flow Date]<=MaxDate, ALL('CASH FLOW PERIOD') ) | ||
Rep 1 Curr Amount | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Rep Currency 1 Amount]) | |
Rep 1 Curr Amount With Tax | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Rep Currency 1 Amount With Tax]) | |
Rep 2 Curr Amount | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Rep Currency 2 Amount]) | |
Rep 2 Curr Amount With Tax | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Rep Currency 2 Amount With Tax]) | |
Rep 3 Curr Amount | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Rep Currency 3 Amount]) | |
Rep 3 Curr Amount With Tax | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Rep Currency 3 Amount With Tax]) | |
Selected Amount Measure | Y | Y | MIN | Y | MIN('SWITCH MEASURE LIST CASH PLAN'[Row Index]) | |
Selected Currency | Y | Y | MIN | Y | MIN('SWITCH CURRENCY TYPE'[Row Index]) | |
Selected Rep Curr 1 | Y | Y | N | SELECTEDVALUE('CASH PLAN'[Cash Plan Reporting Currency 1]) | ||
Selected Rep Curr 2 | Y | Y | N | SELECTEDVALUE('CASH PLAN'[Cash Plan Reporting Currency 2]) | ||
Selected Rep Curr 3 | Y | Y | N | SELECTEDVALUE('CASH PLAN'[Cash Plan Reporting Currency 3]) | ||
Selected Tax | N | N | MIN | Y | MIN('SWITCH TAX'[Row Index]) | |
Trans Curr Amount | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Trans Currency Amount] ) | |
Trans Curr Amount With Tax | N | N | SUM | Y | SUM('CASH PLAN DETAILS'[Trans Currency Amount With Tax] ) | |
Transaction Exist Flag | Y | Y | N | INT(not ISEMPTY('CASH PLAN DETAILS')) |
Time based measures are calculated in the cube with respect to other measures. The table below defines the meaning/definition of the different time measures. These measures need to be used with a specific time dimension hierarchy [REPORTING_DATE].[RepDateMFHy].
Measure | Meaning |
YTD |
Aggregated value for current month in current year. E.g.
for period 202010 Ytd represents sum of periods 202000-202010. |
R12 |
For a given period, the sum all months from one year back up to the
previous month. E.g. Rolling 12 for 202010 is the sum of months 201910
- 202009 |
PY |
Previous Year The value of the corresponding month one year back. E.g. for month 202010, the value of month 201910. |
YTD PY |
Year to Date Previous Year Aggregated value for corresponding month one year back. E.g. for month 202010 YTD Previous Year represents sum of months 201901-201910. |
R12 PY |
Rolling 12 (completed) Months Previous Year For a given month, first going one year back, then taking the sum of all months from one (more) year back up to the previous month. E.g. for month 202010 the sum of month 201810-201909 |
Avg XXX Ytd | Sum XXX YTD/Count XXX YTD |
Avg XXX R12 | Sum XXX R12/Count XXX R12 |
XXX % YTD | Count XXX YTD/Count YYY YTD |
XXX % R12 | Count XXX R12/Count XXX R12 |
Model Name | Product Area |
Cash Planning |
The data source for this object is defined using IFS Developer Tool. The data source contains a number of transformations where the model reads data from the last step, i.e. the Data source view name (DW Source View Name).
Additional information can be found in the online documentation of Information Sources.
Model Table | DW Source view (SQL Server) | BI Access View | Referenced Information Source | Recommended Access Type |
CASH PLAN MEASURES | FACT_CASH_PLAN_DETAIL_TM | FACT_CASH_PLAN_DETAIL_BI | FACT_CASH_PLAN_DETAIL | Data Mart |