datawrangler
Technical User
So, we are just getting started with ReporNet. The data warehouse guy has plugged in all of our data using Framework Manager. It is now up to me to design the reports. Here's the issue I am having. I need to do a simple financial report. Budget vs. Actual. Problem is, all of these transactions Budget, Acutal, Voids... are all in one field called currency. There is a way to break these out using another field called transaction type. Which means I will have to run two queries to get my main measurable data in the report so that I can run calculations. I've taken ReportNet1.1. and of all the sample data I've seen, the different currency transactions are broken out into separate fields.. drag in the Actual, drag in the budget and do my calculations. He says that's silly. Am I nuts here? Does one need to run a query each time you want to bring in a field of information. Suggestions? Am I crazy? I am the one who builds our Models and if users are going to have to do this themselves, they will need to see the measures in separate field... the way it is in the model. thanks!