Import Period Values

The status codes are updated when you import values.

The following table shows the results of the import:

Table 1. Results of importing period values
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.