Import Period Values
The status codes are updated when you import
values.
The following table shows the results of the import:
File Content | Result |
---|---|
Values which have been exported without reconciliation | The companies in the company structure will be changed to Reported for the relevant period, actuality and currency code. |
Values which have been exported with reconciliation differences | The companies in the company structure will be changed to Reported for the relevant period, actuality and currency code. |
Values which have been exported without reconciliation differences | The reported currency codes will be changed to Ready. The other currency codes for the companies are set to Reported. |