- Getting Started
- Structured Planning
- Structured Planning Configuration Tasks
- Using Planning Control Panel
- Understanding Template Input and View Modes
- Working with Data Discrepancies in Templates
- Explanation of Line Types in Templates
- Understanding Workflow Actions
- Using Dynamic Commentary in Planning Templates
- Working with Reports in Structured Planning
- Working with Snapshots in Planning Control Panel
- How-Tos
- Workforce Planning
- Initiative Planning
- Capital Planning
- MyPlan Guides
- MyPlan User Guide
- Accessing MyPlan
- Dissecting the MyPlan Interface
- Retained In-Memory Actions
- How Actions Are Calculated
- Adjusting, Updating, Adding, and Editing Accounts in MyPlan
- How to Add New Headcount
- How to Edit a Headcount
- How to Add Multiple Employees at Once
- How to Edit Multiple New Hires at Once
- How to Add a Headcount Based on an Existing Headcount and Edit Details
- How to Add an Asset
- How to Delete a Headcount
- How to Add an Asset Not Yet Budgeted
- How to Add An Asset for a Budget Entity When the Asset Definition Does Not Exist
- How to Edit an Asset
- How to Update an Account
- Working with Templates in MyPlan
- Activity Manager
- How to Submit a Budget/Forecast
- Template Locking
- Limitations
- MyPlan User Options
- MyPlan Admin Guide
- Benefits of MyPlan
- MyPlan User Guide
- Dynamic Planning
- Dynamic Planning Overview
- Dynamic Planning User Security
- Using Aggregation Process
- SpotlightXL - Download & Installation
- SpotlightXL
- Using SpotlightXL-Analyze
- Using SpotlightXL-Report
- Cascade Reporting in SpotlightXL
- Excel Reporting in SpotlightXL
- Office Reporting in SpotlightXL
- Using SpotlightXL-Model
- Using SpotlightXL-Model Setup Subtask
- Using SpotlightXL-Model Dimensions Subtask
- How to Define a Dimension Members for a Model?
- How to Add a Dimension Member to a Generated Model?
- How to Delete a Dimension Member from a Generated and Locked Model?
- How to Lock Dimension Members
- How to Setup Data Locking?
- How to Turn Data Locking On or Off?
- How to Define Multiple Number Formats for Dimension Members in Views?
- Using SpotlightXL-Model Attributes Subtask
- Using SpotlightXL-Model Maps Subtask
- Using SpotlightXL-Model Scopes Subtask
- Using SpotlightXL-Model Formulas Subtask
- Using SpotlightXL-Model Calculation Subtask
- Using SpotlightXL-Model Data Subtask
- Using SpotlightXL-Model Import and Export Data Subtask
- Using SpotlightXL-Model Administration Subtask
- Using SpotlightXL- External Source Model Subtask
- External Source Model Process
- View Formulas in External Source Model
- External Source Model Field Types, Expressions, and Formulas
- Loading Data to External Source Models
- Support for Variables and Expressions in External Source Models
- Source Map
- Source Model
- Transferring Data from One External Source Model to Another External Source Model
- Using Filter Field Section
- Using Aggregate Functions in Maps
- Configuring Maps using Aggregate Functions - Use Cases
- Multiple External Source Model - Use Case
- Managing Access to ESMs
- Using External Source Model Functions
- Text Functions
- Numeric Functions
- Date Functions
- Logical Functions
- Step-by-Step Use Case for Forecasting Revenue Spread Over Time
- Using ESM Canvas
- ESM Formatting in SpotlightXL
- Predict Signals in DAP (Direct Access) Reports
- Using Model Design
- How-Tos
- Using SpotlightXL-Manage Task
- SpotlightXL Manage User Management Subtask
- Using Group Management
- Using Navigation Access
- Using Application Administration
- Using Metadata Download
- Using Application Settings
- Defining Default Behavior for View and Report Properties
- Defining Default Tab Color for Views and Reports
- How to Provide Calculation Access to Contributor Users?
- Running Calculations in the Background for Views and Reports
- Calculations Execution Delayed and Batched for Better Performance
- Application-Level Data Locking for Views
- Application-Level Data Locking for Reports
- Hiding Empty Folders for Views and Reports
- Indenting Dimension Members
- Using Application Statistics
- Using Audit Log
- Using Process Management
- Using Schedule Management
- Using Model Permissions
- Using Request Status
- Using Model Backup/Restore
- SpotlightXL Manage Office Reports Subtask
- Using Token Management
- Dynamic Planning How to Load an External Data Source into a Master Model (Legacy)
- Spotlight Web
- Analyze
- Report
- Model
- How to Enable the Model Menu in Planful Applications?
- How to Create a Model in the Spotlight Web?
- How to Create a Model by Copying an Existing Model in Spotlight Web?
- How to Create an External Source Model?
- Contributor and Reviewer Access in Model Manager
- Exploring the Model Interface
- Exploring More Menu Model Options
- How to Restore a Model in the Spotlight Web?
- How to Schedule a Calculation Scheduler in Spotlight Web?
- Model Artifacts Browser
- Running and Filtering Reports
- Running and Filtering Views
- Using the Dimension Browser for Hierarchy Management
- Using the Dimension Attribute Browser
- Running and Filtering Calculations
- Filtering Formulas
- Filtering Scopes
- Creating, Editing, and Filtering Maps
- Creating, Editing, and Filtering External Source Model Fields
- Creating, Editing, and Filtering External Source Model Formulas
- Filtering External Source Model Maps
- Frequently Asked Questions
- Spotlight for Google Sheets
- Using Write Back
- Direct Access to PCR Model
- Creating a Direct Access Model to PCR Model
- Metadata Dimension Security for the Scenario Dimension
- Support for PCR Attributes, Attribute Hierarchies, and Alternate Hierarchies
- Support for PCR Substitution Variables and Derived Variables
- Reporting and Analysis Primer
- Multiple POV Selections in SpotlightXL and Spotlight for Direct Connect Models
- Support for PCR Cube Default Members for System-Defined Dimensions in New Views, Formatted Reports, and Excel Reports
- Support for Drill Through in Direct Connect Models in Both SpotlightXL and Spotlight
- Information for Experienced Power and Contributor Users
- Converting a Master Model into a Direct Access to PCR Model
- Using Currency Exchange Rates in Dynamic Planning
- Using Breakback
- Dynamic Planning API Library
- Base URL
- List of Dynamic Planning SOAP APIs
- Append Attributes (Master and Analytic Models)
- Parameters
- Sample Payload for Creating or Appending Attributes With Display Labels (Without Specifying the Member-Attribute Mapping)
- Sample Payload for Updating the Member-Attribute Mapping for Previously Saved Attributes
- Sample Payload for Creating or Appending Attributes (Without Display Labels, Without Specifying the Member-Attribute Mapping)
- Sample Payload for Creating or Appending Attributes and Specifying the Member-Attribute Mapping
- Response
- Append Dimension Members (Master and Analytic Models)
- Calculation Run (Master and Analytic Models)
- Calculation Status (Master and Analytic Models)
- Clear Data (Master and Analytic Models)
- Clear Leaf Data (Master and Analytic Models)
- Export Dimension / Attribute Hierarchy (Master and Analytic Models)
- Export Leaf-Level Data (Scoped) (Master and Analytic Models)
- Load Data (Master and Analytic Models)
- Clear Data (External Source Models)
- Clear Dimension Members (Metadata) (External Source Models)
- Export Leaf-Level Data (Scoped) (External Source Models)
- Load Data (External Source Models)
- Load Dimension Members (Metadata) (External Source Models)
- Create Users and Groups (User Management)
- List Users and Groups (User Management)
- Dynamic Planning: Group Access API
- How-Tos
- How to Open a Second Instance of SpotlightXL
- How to Use Change Data Tracking
- How to Use Variables in SpotlightXL Views and Reports
- How to Cascade a Report in SpotlightXL
- How to Backup and Restore a Model in SpotlightXL
- How to Find Data Cells Quickly in SpotlightXL
- How to Lock Dimension Members in SpotlightXL
- How to Work with Folders in SpotlightXL
- How to Add a Chart to a Report in SpotlightXL
- How to Add a Leaf Level Member to a Hierarchy in SpotlightXL
- How to Add or Delete Dimensions from a Model in SpotlightXL
- How to Create a Report from a View in SpotlightXL
- How to Create a View and Specify Properties in SpotlightXL
- How to Create and Load External Source Models
- How to Create Dimensions as Attributes in SpotlightXL
- How to Define Dimension Security
- How to Define Multiple Number Formats for Dimension Members in SpotlightXL View
- How to Download Data from Structured Planning into a Dynamic Planning Model
- How to Filter Members Using Design Manager in SpotlightXL
- How to Lock a Model to Prevent Modification or Clearing In SpotlightXL and Web
- How to Lock and Unlock Scaling in SpotlightXL
- How to Lock Members in a View or Report to Prevent Modification in SpotlightXL
- How to Perform Multi-Tab Analysis in SpotlightXL
- How to Restore a Model in SpotlightXL
- How to Save Data on Attributes for Views and Reports in SpotlightXL
- How to Select Data and Member Design Manager Options to Populate Report Values
- How to Share a POV Dimension Across Models in a Report
- How to Specify Match Criteria in SpotlightXL
- How to Use Excel Formulas in SpotlightXL
- How to Use the Metadata Viewer in SpotlightXL
- How to Update a Dimension Hierarchy Without Clearing a Model
- How to Configure the Number of Invalid Login Attempts
- How to Create a Report Based on an Existing Report in SpotlightXL
- How to Create a Report Based Off Multiple Models in SpotlightXL
- How to Log Into Spotlight for Office
- How to Create Report Collections in Dynamic Planning
- How to Use ClickOnce Installer for Automatic Upgrades
- How to Schedule a Calculation in SpotlightXL
- Consolidation
- Consolidation Process Prerequisites
- Consolidation Control Panel Overview
- Consolidation Administration Overview
- Processes Overview
- Using Consolidation Process
- Using Standard Journals
- Using Recurring Journals
- Using Dynamic Journals
- How to Add a Dynamic Journal?
- How to Upload Dynamic Journals?
- How to Copy a Dynamic Journal?
- How to Edit a Dynamic Journal?
- How to Delete a Dynamic Journal?
- How to Post a Dynamic Journal?
- How to Clear Dynamic Journal Data?
- How to View Dynamic Journals at the Rollup Level?
- Setting Up Rules in Journals
- Processing Dynamic Journals and Non-Controlling Interest Outside of the Consolidation Process
- Using Non Controlling Interest
- Using Reclassifications
- Using Eliminations
- Using Validations
- Using Actual Data Load
- Entry Actions Overview
- Using Reports in Consolidation
- How-tos?
- How to Configure Retained Earnings Roll Forward?
- How to Setup for Enhanced Retained Earnings Roll Forward?
- How to Close with Consolidation?
- How to Process Consolidation With Configurable Steps?
- How to Unlock Multiple Periods in the Consolidation Process?
- How to Lock Multiple Periods in the Consolidation Process?
- How to Provide Security for Centralized Consolidation Users?
- How to Provide Security for Decentralized Consolidation Users?
- How to Disable Display of Security Option from the Consolidation Control Panel?
- How to Process Consolidation and Include or Exclude Dynamic Journals and Non-Controlling Interest?
- Frequently Asked Questions (FAQs)
- Reports
- Reports Overview
- Reports Configuration Tasks
- Report Administration Limitations
- Using Reports Home Page
- Using Report Folders
- Using Report Documents
- Understanding Report Sets
- Working with Report Collection
- How to Set Up a Report Collection?
- Setting Up the General Information in Report Collection
- Using the Reports Tab in Report Collection
- Using the Setting Tab in Report Collection
- Using the Distribution Tab in Report Collection
- Report Collection Best Practices
- Report Collection Limitations
- How to Download a Report from the Report Collection?
- Distributing a Report Collection
- How to Use Substitution Variables in Report Collection?
- Report Collection Status Information
- Working with Financial Package
- How to Set Up a Financial Package?
- Using Top Menu Options in the Financial Package
- Using Left Pane Options in the Financial Package
- Using Center Pane Options in the Financial Package
- Using the Status Bar in the Financial Package
- Understanding Financial Package Security and User Types
- How to Build and Run a Financial Package Report?
- Working with Different File Types in Financial Package
- Working with PowerPoint Files in Financial Package
- Working with Excel Files in Financial Package
- Financial Package Best Practices
- Understanding Dynamic Reports
- How to Set Up a Dynamic Report?
- Setting Up Header & Footer in Dynamic Reports
- Setting Up Page, Row, & Column in Dynamic Reports
- Setting up Dimension Members in Dynamic Reports
- Using Dimension Member Pick List in Dynamic Reports
- Locking Dimension Members in Dynamic Reports
- Integrating Dynamic Reports with Financial Package Publisher
- Working with Dynamic Reports
- Formatting a Report at Cell Level
- Using Formulas in a Report
- Using Grid Actions in Dynamic Reports
- Using Other Setting in Dynamic Reports
- Using Drill Through in Dynamic Reports
- How to Set Up Substitution Variables in Dynamic Reports?
- Using Quick Functions in Dynamic Reports
- Making an Attribute Available for Dynamic Reporting
- How to Build and Run a Dynamic Report?
- Example of Building a Dynamic Report
- Enhanced Drill Through in Dynamic Reports
- Drilling Through to Translations and Transactions
- Drilling Through to Planning and Capital Template Data
- How to Drill Through to Template Data?
- Drilling Through Reporting on Preloaded and Forecast Scenarios
- Drilling Through Reporting on Closed Period
- Drilling Through Reporting on WFP Data
- Drilling Through Reporting on GL Data
- Drilling Through Reporting on Consolidation Data
- Viewing Code, Name, or Label in Dynamic Report Drill Through
- Understanding Shared Mode Data in Drill Through
- Viewing Operational Planning Notes in Drill Through Report
- Using Save and Reset Settings in Drill Through Report
- Disabling Drill-Through Functionality
- Understanding Drill Down and Drill Through in Dynamic Reports
- Viewing Template Notes in Dynamic Reports
- Dynamic Commentary in Reports
- Displaying Currency in Dynamic Reports
- Understanding Automatic Data Refresh
- Printing Dynamic Reports
- Exporting Dynamic Reports Output in Unprotected View
- Viewing History from Reports
- Dynamic Reports Use Case
- Dynamic Reports - How Tos
- Dynamic Reports Best Practices
- Reporting Cube Configuration Limitations
- How-tos?
- Workforce Reporting
- Dashboards
- Dashboards User Guide
- Using Dashboards
- Dashboard Designer
- How to Add Dimensions to Each Chart Axis?
- Using Substitution Variables for Chart Titles, SubTitles, and Axis Name
- How to Share a Dashboard?
- How to Upload a Thumbnail?
- How to Define Custom Members on a Chart?
- How to Use a Stacked Column Chart in Combination Charts?
- Dashboard is Supported on iOS Mobile Devices
- Changing the Chart Type
- Adding Tables and Text to a Dashboard
- How to Apply a Percentage Calculation for a Dimension or Dimension Combination?
- How to Alter Default Chart Settings?
- Using Consider Absolute Value Denominator Option for KPI Chart
- Using Dynamic Planning Data in a Dashboard
- Using Dynamic Report Chart in Dashboards
- Using Filters in Dashboards
- Customizing Color Schemes in Dashboard Charts
- How to Build a Workforce Dashboard?
- How To Set Dashboards As Your Homepage?
- Viewing History from Dashboards
- Dashboards Administration Guide
- How to Provide Users with Navigation Access to Dashboards?
- Working with Dashboards Reporting Area
- Understanding Dashboards Dimension Security
- How to Apply Scenario Security in Dashboards?
- How to Copy Budget Entity Security to Report Security?
- Using Substitution Variables in Dashboards
- Pre-Defined Custom Members/Formulas in Dashboards
- Sharing Dashboards
- Differentiating Edit Versus View Access to Dashboards
- Differentiating Dashboards Versus Dynamic Reports
- Validating Dashboard Updates
- Recommended Dashboards Screen Resolution
- Auditing Dashboards
- Best Practices for Dashboards Administration
- Dashboards User Guide
- Planful AI Assistant
- Predict
- Budget Manager Experience
- Maintenance
- Administration
- Managing User & Roles
- Configuring Security Options
- Setting Up Add-In Security
- Setting Up Approval Roles
- Setting Up Consolidation Security from User & Role Management
- Setting Up Data Integration Security
- Setting Up Dimension Security
- Managing Reports Access
- Assigning Scenario Access to a User
- Providing Workforce Reporting Access
- Securing Reports and Data
- Configuring Offline Planning
- User Access/Security Overview
- How-Tos
- Configuring Security Options
- Scenario Setup Overview
- Add Scenario
- How Tos
- How to Delete a Scenario?
- How to Delete a Template from a Locked Scenario?
- How to Copy a Scenario?
- How to Forward a Scenario?
- How to Lock/Unlock a Scenario?
- How to Refresh Closed Period Data?
- How to Refresh Preloaded Data?
- How to Reset a Scenario?
- How to Perform Scenario Maintenance?
- How to Manage User Scenario Access?
- How to Upload a Document to a Scenario?
- How to Export the Seeding Exception Report for a Plan Scenario?
- How to Print the Scenario List?
- How to Update the Scenario Print Settings?
- How to Export the Scenario List in Excel Format?
- How to Remove Closed Periods YTD Data from Forecast Reports?
- How to Roll Forward a Scenario?
- Scenario Locking for Shared Mode Enabled Applications
- Inputting Global Field Values
- Securing Scenarios
- Understanding Security Administration
- Configuration Tasks Overview
- General Financial Configuration
- Configuring Ivy
- Define Capital Budgeting Criteria
- Define Workforce Planning Budgeting Criteria
- Data Integration Configuration
- Define Login Restrictions
- MyPlan Account Mapping
- Define Reporting Areas
- Configuring Consolidation
- Workflow Configuration
- Configuring Planful Predict
- Configuring Workdays Setup
- Cloud Scheduler Overview
- Understanding Job Manager
- Understanding Process Flow
- Understanding Job Manager
- Using Customize Branding
- MyPlan Configuration
- Comments Manager Overview
- What is the difference between Structured Planning and Dynamic Planning?
- Frequently Asked Questions (FAQs)
- Managing User & Roles
- Multi-Currency
- Hierarchy Management Overview
- Hierarchy Management Interface Overview
- Creating and Managing Additional Finance Hierarchies
- Adding Report Categories
- Setting Up Attributes for Attribute Hierarchies
- Understanding Best Practices - Finance Hierarchies
- Understanding Reporting Members and Calculated Members
- Setting Up an Attribute Hierarchy
- Configuring OLAP Cube
- Understanding Example of How to Use Attributes
- Adding Another Level to Your Attribute Hierarchy
- Reflecting New Attribute Levels in Reports
- Setting Up An Attribute Used in Reporting and Enabling Drill Down to Dimension Member
- Mapping and Unmapping Workforce Planning Default Measures for Reporting Purposes
- Understanding Best Practices - Attribute Hierarchies
- Setting Up an Alternate Hierarchy
- Setting Up a Dated Hierarchy
- Entity Hierarchy Overview
- Sibling Hierarchies - Multiple Set of Books Overview
- Versioned Hierarchy Management in Dynamic Planning
- Exploring Additional Hierarchy Topics
- How-Tos
- Exploring the Frequently Asked Questions (FAQs) for Hierarchies
- Planning Templates Overview
- Using Global Fields
- Adding Attributes
- Line Item Category Overview
- Template Setup Overview
- Template List Overview
- Adding Template Overview
- Designing Templates
- Understanding Mapping Options on the Template List Page
- Setting Up Spreads
- Planning Template Design Best Practices
- How-Tos
- Template List Overview
- Workforce Overview
- Workforce Planning Setup Overview
- Employees Overview
- How-Tos
- Adding a Profile Picture to Employee Profile
- Managing Employee Information Using the Reports Option
- Applying Mass Updates to Employees
- Using Customize Roster to Add Compensation Items
- Changing Budget Raise Percentage
- Employee Positions Outside of the Current Budget Cycle
- Automated Employee Processing
- Performance Statistics of Employee Page or Employees Tab
- Calculating Budget Review Date and Current Review Date
- Pop-up Message Introduced across all the windows in Workforce Planning Setup
- Copying the Employees from One Scenario to Another
- Exploring Use Cases on How to Update Several Employees at Once
- Creating a Duplicate Employee
- How-Tos
- Compensation Groups Overview
- Compensation Items Overview
- Compensation Basis Overview
- Understanding of Wages
- Understanding of Wages with Annual Cap
- Understanding Fixed Amount
- Understanding Fixed Amount per FTE
- Understanding Fixed Amount based on Employee Attribute
- Understanding Tiers on Employee Attribute - Value in Wages
- Understanding Profit Sharing Setup Example with Multiple Caps And Different Percentages
- Understanding Marginal Benefit Calculation Setup Examples
- Understanding Situations When You Can't Edit a Compensation Item
- Understanding Pre-built Calculation Basis
- Understanding the Link to Global Fields Option
- How-Tos
- How to View the Compensation Items in a Workforce Planning Budget Report?
- How to Set Up 401K Match?
- How to Copy all Compensation Items and Rates from One Scenario to Another?
- How to Input Data Using the Direct Data Input Compensation Item?
- How to Lock Compensation Items to Prevent Modification?
- How Changes to Compensation Items Affect Running Scenarios?
- How to Select Compensation Items for Calculating Wages?
- How to Update Compensation Items Loaded via a Data Load Rule?
- How to Make the Bonus Expense Calculation Variable?
- Compensation Basis Overview
- Employee Types Overview
- Pay Plans Overview
- Workforce Attributes Overview
- Employees Overview
- Using Export Employee Data
- Workforce Planning Data Load Rules
- Frequently Asked Questions (FAQs)
- Workforce Planning Setup Overview
- Capital Planning Overview
- Rules
- Data Integration
- Loading Data With Actual Data Templates
- Setting Up Translations
- Guide to Export Data Setup and Export Data
- Setting Up Transaction Details
- DLR
- Creating and Managing Data Load Rules (DLR)
- Data Load Rules - Field Explanation
- Understanding Data Load Rule List
- Understanding New Data Load Rule
- Understanding Select Sample Input File
- Define Overall Rule Settings
- Understanding Load Item - Segment Hierarchies for Define Overall Rule Settings
- Understanding Load Item - Data for Define Overall Rule Settings
- Understanding Load Item - Data for Attributes and Attribute Hierarchies
- Understanding Load Item - Data for Entity Hierarchies
- Understanding Load Item - Data for User Load
- Understanding Load Item - Data for Workforce Planning
- Understanding Load Item - Data for Currency Exchange Rates
- Understanding Define Data Mappings
- Understanding Manipulate Input File
- Understanding Load Data
- Processing of Data Load Rules - Scenario Locking
- Converting a DLR Type
- How to Add an Integration Service Process?
- Understanding Clear Data
- How to Clear Data in Finance?
- Workforce - Clear Data
- How to Clear Data for Specified Time Periods?
- How to Preview Data for Specified Time Periods?
- How to Export Data for Specified Time Periods?
- How to Preview Data for Specified Home Budget Entity?
- How to Export Data for Specified Home Budget Entity?
- How to Preview Data for Specified Segment Combination?
- How to Delete Data Using the Specified Segment Combination?
- How to Preview Data for Specified Employee and Position?
- How to Delete Data Using the Specified Employee and Position?
- How to Export Data Using the Specified Employee and Position?
- How to Load Zeros Through Data Load Rules to Reflect in a Template?
- Using Data Calculation Exceptions
- Additional Topics
- API Library
- Data Import
- Data Export
- API Compliance
- Client Application Platforms
- API Access Keys
- API Calls - Overview
- Objects
- Platform SOAP APIs
- Login API
- GetSessionId API
- GetVersion API
- GetAllCurrencies API
- GetAllCurrencyTypes API
- Logout API
- User Management
- Dimension Security Update API
- Structured Planning APIs
- Reports SOAP APIs
- Best Practices and Tips
- Enumerations
- Planful API Library
- Report Administration
- Using Application Audit
- Administration
- Release Updates
- 2025 Release Notes
- 2024 Release Notes
- December 2024 Release Notes
- November 2024 Release Notes
- October 2024 Release Notes
- September 2024 Release Notes
- August 2024 Release Notes
- July 2024 Release Notes
- June 2024 Release Notes
- May 2024 Release Notes
- April 2024 Release Notes
- March 2024 Release Notes
- February 2024 Release Notes
- January 2024 Release Notes
- Product Summary 2024
- 2023 Release Notes
- 2022 Release Notes
- 2021 Release Notes
- 2020 Release Notes
- 2019 Release Notes
- 2018 Release Notes
- 2017 Release Notes
- December 17 Maintenance Release
- 2.3.1 Modeling Release Notes, December
- Fall 17 Release Notes
- 2.3 Modeling Release Notes, November
- October 17 Maintenance Release
- 2.2.2 Modeling Release Notes, October
- September 17 Maintenance Release
- Summer 17 Release Notes
- 2.1.2.2 Modeling Release Notes, July/August
- July 17 Release Notes
- 2.1.2 Modeling Release Notes, July
- June 17 Release Notes
- 2.1.1 Modeling Release Notes, June
- Spring 17 Release Notes
- April 17 Release Notes
- 2.0.2 Modeling Release Notes, April
- March 17 Release Notes
- 2.0.1 Modeling Release Notes, March
- Winter 17 Release Notes
- 2.0 Modeling Release Notes, February
- January 17 Release Notes
- 1.9.2 Modeling Release Notes, January
- 2016 Release Notes
- Planning/Consolidation/Reporting December 16 Release Notes
- 1.9.1 Modeling Release Notes, December
- Planning/Consolidation/Reporting Fall 16 Release Notes
- 1.9 Modeling Release Notes, November
- Planning/Consolidation/Reporting October 16 Release Notes
- 1.8.2 Modeling Release Notes, October
- Planning/Consolidation/Reporting September 16 Release Notes
- 1.8.1 Modeling Release Notes, September
- Planning/Consolidation/Reporting Summer 16 Release Notes
- 1.8 Modeling Release Notes, August
- Planning/Consolidation/Reporting July 16 Maintenance Release
- 1.7.2 Modeling Release Notes, July
- Planning/Consolidation/Reporting June 16 Maintenance Release
- 1.7.1 Modeling Release Notes, June
- Planning/Consolidation/Reporting Spring 16 Feature Release
- 1.7 Modeling Release Notes, May
- Planning/Consolidation/Reporting April 16 Maintenance Release
- 1.6.2 Modeling Release Notes, April
- Planning/Consolidation/Reporting March 16 Maintenance Release
- 1.6.1 Modeling Release Notes, March
- Planning/Consolidation/Reporting Winter16 Release
- 1.6 Modeling Release Notes, February
- Planning/Consolidation/Reporting January 16 Maintenance Release
- Enhancements to Application Behavior
- 1.5.2 Modeling Release Notes, January
- Additional Resources
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March 2019 Release Notes
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Modeling 2.8.1: Microsoft Office 2019 Support for Modeling
We now support Microsoft Office 2019 in SpotlightXL and Spotlight for Office. See System Requirements.
Modeling 2.8.1: No New Add-In
The SpotlightXL and Spotlight Office Add-Ins were not changed in this release. This release does not require existing users to upgrade their client software.
Modeling 2.8.1: Updated Look for the Spotlight Login Pages
In this release, the look for the login page in SpotlightXL, Spotlight for Office, and Spotlight (Web) is changed.
When you click to login from SpotlightXL, SpotlightWord, SpotlightPPT, or Spotlight (Web), you see the updated look. It is similar to the login page for Host Analytics Planning, Consolidation, and Reporting applications. Enter your username and password, then click Login.
Note that there is no change to the URL, username, or password. Only the look and feel of the login page has changed.
Modeling 2.8.1: Converting a Master Model into a Direct Access to PCR Model
In this release, administrators can now convert an existing Master model into a Direct Access to PCR model using Backup and Restore. If the existing Master model was set up with the traditional integration method of connecting to the financial reporting area of PCR, it is possible to switch it over to the newer Direct Access integration method, which has less maintenance. This is accomplished by backing up the Master model with no data and then Restoring it as a Direct Access model.
This functionality is available for all customers.
The Direct Access method of integration is described here: Modeling: Using Direct Access to PCR Financial Reporting.
Contents
Advantages and Disadvantages of Converting
Pre-Requisites to Converting to a Direct Access to PCR Model
Basic Method to Convert a Master Model to a Direct Access to PCR Model
Detailed Steps to Convert a Master Model to a Direct Access to PCR Model
Advantages and Disadvantages of Converting
Using Direct Access to PCR has several benefits:
No need to manage the data and metadata synchronization between PCR and Modeling. It happens automatically.
No need to run calculations to move data and metadata.
Instant access to PCR data and metadata in Modeling.
The data and metadata reside and are maintained in only one place within PCR.
Using Direct Access to PCR also has some limitations:
You cannot write back data from within Modeling.
Views and reports cannot use Save Data or Breakback options.
Pre-Requisites to Converting to a Direct Access to PCR Model
Before a Master model can be converted to a Direct Access to PCR (DAP) model, it must meet the following criteria:
All of the data and metadata in the Master model must have been sourced from PCR. In the map that created the Master model, the Source model must be HACPM_Financial.
The Master model should have been designed for reporting purposes only (no saving data and no write back to PCR). If there are any views or reports for the Master model, if they had Enable Save, this functionality will not work once the model is converted to a DAP model. It is recommended to turn off Enable Save on views and reports before the conversion.
In the map that was used to create the Master model, lookups cannot be used.
All the dimensions in the Master model should be sourced from HACPM_Financial. The Master model cannot have dimensions that are not found in HACPM_Financial (the map must not contain target dimension filters).
Dimension names must match those in HACPM_Financial.
The Master model cannot have a BudgetEntity dimension.
The Master model should not have dimensions mapped to HACPM_Financial attributes. While we support the notion of creating attributes as dimensions when sourcing the data from PCR, if the Master model uses this type of mapping, then it cannot be converted into a Direct Access to PCR model.
Basic Method to Convert a Master Model to a Direct Access to PCR Model
The basic method to convert a Master model into a Direct Access model is as follows. Always test the process first in a sandbox or staging environment.
Login to Spotlight (web).
Backup the existing Master model, with no data.
Delete or rename the existing Master model.
Use Restore As to restore the model with the original name and set the flag for Direct Access to PCR.
Detailed Steps to Convert a Master Model to a Direct Access to PCR Model
Refresh the application into ModelSBX (customer sandbox) or ModelSTG (staging).
Select the Master model to convert to a DAP model.
If the Master model has a map with type Metadata or Both, save this map again to validate it. Sometimes, such maps reference deleted dimension members and clicking Save will point out the problems.
Verify that the Master model can be converted into a DAP model. See the Pre-Requisites above.
Backup the Master model with no data. This creates a local ZIP file.
Note:It is not a bad idea to backup the Master model with leaf-level data as well, so you have an archive of your previous implementation.Clear and delete the original Master model.
Using Model Manager on the Web, click to Restore a model, locate the ZIP file, and check the box to Restore as a DAP model. Ensure the Restore As name has the same name as the original Master model; otherwise, Excel Reports will not work.
Run the calculation on the restored model to refresh the metadata and download alternate hierarchies, attributes, and attribute hierarchies. After this step, the model will be generated and locked.
Validate views, reports, and Excel Reports for the restored model.
Repeat steps 2 through 9 for other models.
If the restored models pass validation, repeat this process in your production environment.
Details for Administrators
When you Restore a Master model as a DAP model, only one map is retained: the one of type Metadata or Both. All other maps are deleted. The map with type Metadata or Both will be converted into a map with type Metadata. If there is no existing map with type Metadata or Both, a new map with type Metadata will be created by default; it will specify to download All Members for all dimensions.
When you Restore a Master model as a DAP model, all scopes, formulas, and calculations previously associated with the Master model are deleted. One calculation is created; it is the standard one created with all DAP models, containing five steps to refresh the model. See Hierarchy Updates.
All existing attributes from the Master model will be deleted. Attributes and attribute hierarchies mapped to the financial cube in PCR will be downloaded. Attributes mapped to a dimension are not supported because, in this case, the Master model would then have a dimension not found in HACPM_Financial. The Master model should not have dimensions mapped to HACPM_Financial attributes.
Modeling 2.8.1: External Source Models Enhanced to Support Transferring Data from One External Source Model to Another External Source Model
In this release, we are adding support for copying data from one External Source Model to another External Source Model. Just as you can copy data from an External Source Model into a Master or Analytic model using an ESM map, now you can use the same method to copy data from one ESM to another. You must first define both the Source and the Target ESMs using the Source Model page, then you can define the Source Map to transfer the data. When the map is run, all data in the Target ESM is deleted before the data transfer from the Source Model is done.
A common use case for this feature would be to store your data load inputs in one ESM and your calculated/formula fields in a second ESM. The formula fields in the second ESM depend on data from the first ESM, so you can copy the requisite fields to the second ESM, which automatically calculates the formula fields. After verifying the data load, then load the data from the second ESM into your Master model.
Contents
Defining a Map from a Source ESM to a Target ESM
Using a Calculation to Load Data into the Target ESM
Using Filter Fields to Limit the Data Load
Example Source ESM
In the examples in this section, the Source Model is Budget. The Source Model has 8 fields.
Here is the data in the Source Model.
Example Target ESM
In the examples in this section, the Target ESM is Revenue. The Target ESM also has 8 fields but some fields are different than the Source Model.
Defining a Map from a Source ESM to a Target ESM
The Source Model is a two-dimensional table of data organized into fields. The Target ESM must contain at least as many data-input fields as the Source Model. You will map the fields from the Source Model to the fields in the Target ESM. You must provide a mapping for all the data-input fields in the Target ESM; data-input fields are those marked as Yes for Include in Data Load.
Go to Model > External Source Model > Source Map.
Enter a name for the map.
From the Model drop-down list box, select or specify the name of the Target ESM you want to map the Source ESM to. In the drop-down list box, the ESMs are listed separately under a sub-heading called ESM.
Select the Source Model from the Source Model drop-down.
Select Data for Type.
Set Append Missing Dimension Members to No. This option applies only to mapping to Master or analytic models.
Now specify the fields from the Source Model that map to fields in the target ESM. Not all fields in the Source must be mapped, but you must provide a mapping for all the fields in the Target ESM that are marked as Yes for Include in Data Load.
For fields in the Target ESM but not in the Source Model, specify Field: None, Maps To: DimensionFilter, the field name in the Target ESM under Target Field, and the text, number, or date to be placed into the target model under Default Value.
Save the map.
Using a Calculation to Load Data into the Target ESM
To copy data from the Source Model to the Target ESM, you must use a calculation to run the External Source Map. When the map is run, all data in the Target ESM is deleted before the data transfer from the Source Model is done.
Calculations are stored within a Master or analytic model. We suggest that you create the calculation inside the Master model that the ESM data will eventually be loaded into.
Go to Model > Calculation.
Select the Master model associated with your ESMs from the Model drop-down.
Give the calculation a name.
Create the first step of the calculation by selecting ExternalSourceMap from the Type drop-down.
Select the name of the map you created in the previous task from the name drop-down.
Save the calculation.
Run the calculation.
When using this calculation to execute the ExternalSourceMap, the existing records in the Target ESM are deleted, and then records from the Source Model are copied to the Target ESM. To verify the data in the Target ESM:
Go to Model > External Source Model > Source Data.
Select the Target ESM from the drop-down and click Refresh.
If there were any formula fields in the Target ESM, they are calculated and displayed on the screen.
Using Filter Fields to Limit the Data Load
If you want to load only a subset of data in the Source model, use the Filter Field section of the Source Map to indicate which rows of data to load. In the following example, the map indicates that only rows with Department Aerospace should be loaded from Budget to Revenue.
Here is the resulting data.
Multi-ESM Use Case
The following example shows how you can use multiple external source models to generate valuable forecasting data for sales and consulting revenue.
Data inputs about the prospective customer, sales rep, potential revenue amount (ARR), and potential implementation consulting revenue are loaded into an ESM called Revenue Opportunities.
Sales revenue is forecast monthly based on a project start date and a term. To keep the ESMs organized and of a manageable size, there is one ESM for each year to store the monthly forecast.
Consulting revenue is forecast quarterly based on a project start date and four quarters of payments. To keep the ESMs organized and of a manageable size, there is one ESM for each year to store the consulting forecast.
Revenue Opportunities identifies 8 data input fields that you need to load.
Here is the data load file for Revenue Opportunities.
The Revenue ARR amount is spread over 2018 and 2019 in this example. An ESM for each year is created. Only 4 fields from Revenue Opportunities need to be mapped to the ARR Spread models to generate the monthly forecast.
Here are the maps to copy the four input fields from Revenue Opportunities to the Spread models.
Here is the calculation to run the two ESM maps.
The resulting ARR spread data is as follows.
Similar to ARR, the Revenue Implementation Consulting amount is spread over 2018 and 2019 in the following example. To show a different use case, we assume that consulting will be paid in 4 equal quarterly payments and will last no longer than 4 quarters, even if the Term of the project is more than 12 months. An ESM for each year is created. Only 3 fields from Revenue Opportunities need to be mapped to the Consulting Spread models to generate the monthly forecast.
Explanation of the Quarterly Formulas
For syntax of the ESM functions, see External Source Model Field Types, Expressions, and Formulas.
We have a Service Start date and need to calculate the dates of the following three quarters.
Formulas are created which calculate what the month and year is 3 months later, 6 months later, and 9 months later.
If the Service Start date is late in the year, then adding 3, 6, or 9 months will push into the next calendar year. For example, 11/1/18 plus 3 months is 2/1/19.
If you add 3 to the Service Start date month (11 + 3 = 14), and the result is greater than 12, then you need to subtract 12 to get the correct month (14 - 12 = 2).
IF(MONTH([Service Start])+3<13, MONTH([Service Start])+3, MONTH([Service Start])+3-12)
Similarly with the year, if you add 3 to the Service Start date month (11 + 3 = 14), and the result is greater than 12, then you are into the next year, so you need to add 1 to get the correct year (2018 + 1 = 2019).
IF(MONTH([Service Start])+3>12, YEAR([Service Start])+1, YEAR([Service Start]))
Once you have fields defined that store the month and year of the following three quarters, you can put it all together and create fields to store the Consulting Q2, Q3, and Q4 dates.
Date([Service Start Q2 Month],[Service Start Day],[Service Start Q2 Year])
- To create the monthly forecast of consulting revenue, we want 25% of the Implementation Consulting numeric value to appear in each of the four months of the Consulting Q2, Q3, and Q4 dates.
For Nov-2018, if the Service Start date, Consulting Q2 date, Consulting Q3 date, or Consulting Q4 date has a Month=11 and a Year=2018, then calculate Implementation Consulting]/4, otherwise 0.
In other words, if any of the following conditions are True, then the OR condition is True and will result in [Implementation Consulting]/4.
AND(MONTH([Service Start])=11, YEAR([Service Start])=2018)
AND(MONTH([Consulting Q2])=11, YEAR([Consulting Q2])=2018)
AND(MONTH([Consulting Q3])=11, YEAR([Consulting Q3])=2018)
AND(MONTH([Consulting Q4])=11, YEAR([Consulting Q4])=2018)
IF(OR(AND(MONTH([Service Start])=11, YEAR([Service Start])=2018), AND(MONTH([Consulting Q2])=11, YEAR([Consulting Q2])=2018), AND(MONTH([Consulting Q3])=11, YEAR([Consulting Q3])=2018), AND(MONTH([Consulting Q4])=11, YEAR([Consulting Q4])=2018)), [Implementation Consulting]/4,0)
Here are the maps to copy the three input fields from Revenue Opportunities to the Spread models.
Here is the calculation to run the two ESM maps.
The resulting Consulting Revenue spread data is as follows.
Reporting
Additional Standard Reports Now Available in the Planning Control Panel
The following reports are now available under the Reports tab in the Planning Control Panel:
Budgeted Data
Capital Budget Analysis
Subline Data
Budget Entity and Scenario are updated for the report based on the selections made in the Planning Control Panel.
Platform
Office 2019 Support for PCR
We now support Office 2019. Please see the Browser Support Matrix.
Browser Support Matrix
The following browsers and browser versions are supported as of this release:
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Client Hardware | 1 GB memory minimum but 4 GB recommended. Intel / AMD single processor (1 GHz, but 2 GHz recommended | |||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Data Integration / Other
Enhancement to Scenario Selection in Detailed HR–Employee Data Load Rule (DLR)
You now have the ability to retain the Data Load Columns when you change the Scenario in the Define Overall Rule Settings tab for a Detailed HR – Employee Data DLR.
For example, when you select Scenario 2 after selecting Scenario 1 from the Scenario drop-down list, the Scenario Change pop-up window displays a confirmation message to retain the columns, and if you click:
Yes: The columns from Scenario 1 will be retained for Scenario 2.
No: The columns from Scenario 1 will not be retained for Scenario 2. If there are any columns saved against the DLR for Scenario 2 then those columns will be displayed along with the default columns.
To save the column settings for a scenario, click Next.
The image below displays the Scenario Change pop-up window when you select Budget 2017 scenario after selecting Budget 2013 scenario.
Prior to this release, when you changed the Scenario, the Data Load Columns were not retained. If you wanted to retain the columns, you had to load individual columns and save the settings again.
Common
Update to Application Searchable Drop-downs
Searchable drop-downs (like the one shown in the image below) are on many application pages throughout the Host Analytics application. Some examples include the Template Setup application page in Planning where you can map segments and the Journals page in Consolidation where you can select segments.
Prior to this release, when you searched within the drop-down, the application would return results based on “begins with” criteria. With this release, when you enter search data in these drop-downs, the application returns results based on “contains” criteria.
In Practice:
Let’s say you know an account “contains” the number 10. You enter 10 in the Account field and (based on the image below) accounts 1100 - Cash Checking and 1110 - Money Market are returned. These accounts are returned because they both “contain” the number 10. Prior to this release, the system would search for an account that “began with” the number 10.
Now, let’s say you search on the word Receivable. There are 3 accounts that contain the word Receivable. So, those accounts shown in the image below will be returned.
Retirement of the Excel Query Add-In
The Excel Query Add-In has been retired. For more information, access the Support Portal and click the following link: https://planfulcommunity.force.com/customer/s/article/360015116111-202524183
Table of contents
- Modeling 2.8.1: Microsoft Office 2019 Support for Modeling
- Modeling 2.8.1: No New Add-In
- Modeling 2.8.1: Updated Look for the Spotlight Login Pages
- Modeling 2.8.1: Converting a Master Model into a Direct Access to PCR Model
- Modeling 2.8.1: External Source Models Enhanced to Support Transferring Data from One External Source Model to Another External Source Model
- Reporting
- Platform
- Data Integration / Other
- Common
- Retirement of the Excel Query Add-In