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Spreadsheet Server for use with JD Edwards - Global Software, Inc.

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<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.'s<strong>Spreadsheet</strong> <strong>Server</strong><strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong>®User ManualRelease V11 R3 M9Worldwide Headquarters3201 Beechleaf CourtRaleigh, NC 27604 USA+1.919.872.7800www.glbsoft.comEMEA Headquarters500 Chiswick High RoadLondon, W4 5RG UK+44 (0) 20 8956 2213


<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong><strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.'s <strong>Spreadsheet</strong> <strong>Server</strong> converts familiarspreadsheet software, such as Microsoft® Excel, into tightlyintegrated analytical tools <strong>for</strong> financial systems. Financial <strong>use</strong>rs canleverage the strength of spreadsheets <strong>with</strong> seamless dynamicintegration to financial in<strong>for</strong>mation. <strong>Spreadsheet</strong> <strong>Server</strong> eliminatesthe re-keying or downloading of data into spreadsheets and makesthem an integral part of the financial application.


<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong>All rights reserved. No parts of this work may be reproduced in any <strong>for</strong>m or by any means - graphic, electronic,or mechanical, including photocopying, recording, taping, or in<strong>for</strong>mation storage and retrieval systems - <strong>with</strong>outthe written permission of the publisher.Microsoft, Excel, Access, Windows, Outlook, Office and SQL <strong>Server</strong> are all registered trademarks of MicrosoftCorporation. Oracle, <strong>JD</strong> <strong>Edwards</strong>, PeopleSoft, World, and OneWorld are registered trademarks of OracleCorporation and/or its affiliates. IBM, DB2, iSeries, and AS/400 are registered trademarks of InternationalBusiness Machines Corporation in the United States and/or other countries. Trade names referenced are theservice marks, trademarks, or registered trademarks of their respective manufacturers in the United Statesand/or other countries. <strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>. is not associated or affiliated in any manner <strong>with</strong> the respectiveowners of the <strong>for</strong>egoing trademarks, trade names or service marks unless expressly stated otherwise. Therespective owners of the <strong>for</strong>egoing trademarks, trade names or service marks have not endorsed, certified orapproved any of <strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.'s products <strong>for</strong> <strong>use</strong> in connection <strong>with</strong> their respective products.While every precaution has been taken in the preparation of this document, the publisher and the authorassume no responsibility <strong>for</strong> errors or omissions, or <strong>for</strong> damages resulting from the <strong>use</strong> of in<strong>for</strong>mation containedin this document or from the <strong>use</strong> of programs and source code that may accompany it. In no event shall thepublisher and the author be liable <strong>for</strong> any loss of profit or any other commercial damage ca<strong>use</strong>d or alleged tohave been ca<strong>use</strong>d directly or indirectly by this document.Printed: March 2011


III<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9Index 116© 2011 ... <strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


<strong>Spreadsheet</strong> <strong>Server</strong> Overview 41 <strong>Spreadsheet</strong> <strong>Server</strong> Overview1.1 Introducing <strong>Spreadsheet</strong> <strong>Server</strong>What is <strong>Spreadsheet</strong> <strong>Server</strong>?<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.'s <strong>Spreadsheet</strong> <strong>Server</strong> converts familiar spreadsheet software (Microsoft ® Excel) into atightly integrated analytical tool <strong>for</strong> financial systems. Financial <strong>use</strong>rs can leverage the strength of spreadsheets<strong>with</strong> seamless dynamic integration to financial in<strong>for</strong>mation. <strong>Spreadsheet</strong> <strong>Server</strong> eliminates the re-keying ordownloading of data into spreadsheets and makes those spreadsheets an integral part of financial applications.Ease of UseBased on knowledge of Excel ® , minimal training is required to <strong>use</strong> <strong>Spreadsheet</strong> <strong>Server</strong>. No programming orquery knowledge is necessary. Users utilize the standard spreadsheet capabilities supplemented <strong>with</strong> simple cell<strong>for</strong>mulas to gain access to dynamic financial in<strong>for</strong>mation.Leverage <strong>Spreadsheet</strong> SkillsWhile maintaining the full functionality of the spreadsheet application, <strong>Spreadsheet</strong> <strong>Server</strong> allows the <strong>use</strong>r to mixGeneral Ledger and non General Ledger data in a single worksheet. The combination of powerful spreadsheetfunctions (charting, text <strong>for</strong>matting, and sorting) and dynamic financial in<strong>for</strong>mation provides the basis <strong>for</strong> buildingan income statement, balance sheet, and other financial statements.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


5<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M91.2 Features & BenefitsFeatures· Retrieve dynamic period, range of periods, quarter-to-date, year-to-date, and life-to-date balances· Retrieve account, company, and business unit descriptions· Retrieve balances using category codes, ranges, wildcards, value lists, or segment lists· Drill down to detailed account balances· Drill down to journal detail <strong>for</strong> selected accounts· Drill down to journal lines <strong>for</strong> a selected journal entry· Drill down to selected subsystem detail· Copy drill down data and paste into spreadsheets or other documents· Report on data from multiple environments in a single spreadsheetBenefits· Leverage spreadsheet skills and write reports <strong>with</strong>in minutes· Eliminate requirement <strong>for</strong> IT or super-<strong>use</strong>rs to create/change financial reports· No more downloading or re-keying of spreadsheet data· Reduce number of days to close financial books; save just 3 hours per month per <strong>use</strong>r and the investment ispaid <strong>for</strong> in less than 12 months· Publish executive-quality reports from current spreadsheet software· <strong>Inc</strong>rease the efficiency and timeliness of the budgeting process· Build a complete Executive In<strong>for</strong>mation System· Create ad-hoc reports or per<strong>for</strong>m account analysis <strong>with</strong>in minutes· Save financial <strong>use</strong>r's time by combining reporting, account inquiry, and journal inquiry into one application; freeup time <strong>for</strong> true business analysis· Per<strong>for</strong>m corporate consolidations <strong>with</strong> instant access to dynamic data· Reduce external audit time by allowing easier, instant access to financial data <strong>with</strong> full drill down capabilities· Reconcile accounts· Print or email spreadsheets quickly and easily from a single, central application


Getting Started 103.1.1 S<strong>Server</strong> MenuAfter <strong>Spreadsheet</strong> <strong>Server</strong> is initiated as an add-in to Excel, the S<strong>Server</strong> menu is added to Excel. The menu is<strong>use</strong>d to access/process various functions <strong>with</strong>in the application.For Excel 2003:The S<strong>Server</strong> menu is accessible from the Excel menu bar.For Excel 2007 and Above:The S<strong>Server</strong> menu is accessible from the Add-Ins ribbon.Menu ItemAbout <strong>Spreadsheet</strong> <strong>Server</strong>Reset Host <strong>Server</strong> ConnectionSegment ListsDisplay AccountsView Account BalancesDescriptionOpens the About panel, listing various company and productin<strong>for</strong>mation.Opens the Sign On panel, allowing the <strong>use</strong>r to sign onto the systemusing a different ID or to switch between working in live or local mode<strong>with</strong>out having to close and restart Excel (seeReset Host <strong>Server</strong> Connection).Opens the Maintain Segment Lists panel, allowing the <strong>use</strong>r to createand/or maintain segment lists (see Create/Maintain Segment Lists).Opens the Display Chart of Accounts panel, allowing the <strong>use</strong>r togenerate a list of existing accounts (see List Accounts).Opens the View Account Balances panel, displaying balances <strong>for</strong> theselected accounts and allowing <strong>for</strong> drill down to the journals and journalentry lines <strong>for</strong> the listed accounts (see View Account Balances).<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


11<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9Menu ItemPC CacheSettingsHide Rows With Zero BalanceRestore Hidden RowsGenerate Account Detail <strong>for</strong>Current SheetGenerate All Detail Reports(GXE)Clear PC Cache andRecalculateBuild a TemplateFormula AssistantData Validation WizardFix Broken LinksDisable <strong>Spreadsheet</strong> <strong>Server</strong>Formula CalculationsDescriptionOpens the PC Cache panel, listing the cached records (seeReview/Refresh PC Cache).Opens the Settings panel, allowing the <strong>use</strong>r to define various criteria tocontrol processing (see User Settings).Hides any spreadsheet row containing GXA <strong>for</strong>mulas in which the netresult is zero <strong>for</strong> all cells (see Hide Rows <strong>with</strong> Zero Balances).Displays previously hidden rows (see Hide Rows <strong>with</strong> Zero Balances).Opens the Generate Account Detail Options panel, allowing the <strong>use</strong>r tocreate an audit trail listing the individual accounts and balances includedin the GXA <strong>for</strong>mulas on the worksheet (seeGenerate Account Detail <strong>for</strong> Current Sheet).Generates detail reports <strong>for</strong> all GXE and GXECC <strong>for</strong>mulas in theworkbook (see Expand Detail Reports (GXE) - Account Detail,Expand Detail Reports (GXE) - Journals Only, GXECC -Expand Detail Reports by Category Code - Account Details andGXECC - Expand Detail Reports by Category Code -Journal Entry Details).Clears and recalculates the cache file (see Review/Refresh PC Cache).Opens the Build a Template panel, allowing the <strong>use</strong>r to quickly create atemplate on a <strong>Spreadsheet</strong> <strong>Server</strong> spreadsheet (see Build a Template).Opens the Formula Assistant panel, allowing the <strong>use</strong>r to maintainparameters <strong>for</strong> a <strong>for</strong>mula (see Formula Assistant).Opens the Data Validation panel, allowing the <strong>use</strong>r to create a validationlist <strong>for</strong> a specific cell in Excel (see Data Validation).Corrects all broken links to the .xla in the workbook.Disables <strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mulas (seeDisable / Enable <strong>Spreadsheet</strong> <strong>Server</strong> Formula Calculations).


Getting Started 123.1.2 SS ToolbarAfter <strong>Spreadsheet</strong> <strong>Server</strong> is initiated as an add-in to Excel, the SS toolbar is added to Excel. The SS toolbarmay be <strong>use</strong>d as a convenient alternative to various S<strong>Server</strong> menu functions.For Excel 2003:The SS toolbar is accessible in the standard toolbar section.For Excel 2007 and Above:The SS toolbar is accessible from the Add-Ins ribbon.Menu ItemClear PC Cache andRecalculateDisplay AccountsView Account BalancesExpand All DetailReportsSettingsFormula AssistantMaintain Segment ListsDescriptionClears and recalculates the cache file (see Review/Refresh PC Cache).Opens the Display Chart of Accounts panel, allowing the <strong>use</strong>r togenerate a list of existing accounts (see List Accounts).Opens the View Account Balances panel, displaying balances <strong>for</strong> theselected accounts and allowing <strong>for</strong> drill down to the journals and journalentry lines <strong>for</strong> the listed accounts (see View Account Balances).Generates detail reports <strong>for</strong> all GXE and GXECC <strong>for</strong>mulas in theworkbook (see Expand Detail Reports (GXE) - Account Detail,Expand Detail Reports (GXE) - Journals Only, GXECC -Expand Detail Reports by Category Code - Account Details andGXECC - Expand Detail Reports by Category Code -Journal Entry Details).Opens the Settings panel, allowing the <strong>use</strong>r to define various criteria tocontrol processing (see User Settings).Opens the Formula Assistant panel, allowing the <strong>use</strong>r to maintainparameters <strong>for</strong> a <strong>for</strong>mula (see Formula Assistant).Opens the Maintain Segment Lists panel, allowing the <strong>use</strong>r to createand/or maintain segment lists (see Create/Maintain Segment Lists).<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


13<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M93.1.3 SS RibbonAfter <strong>Spreadsheet</strong> <strong>Server</strong> is installed and initiated as an add-in to Excel, a custom <strong>Spreadsheet</strong> <strong>Server</strong> (SS)ribbon is added to Excel <strong>for</strong> Excel 2007 (and above) <strong>use</strong>rs. The SS ribbon may be <strong>use</strong>d as a convenientalternative to various S<strong>Server</strong> menu functions.For Excel 2003:The SS ribbon is NOT applicable.For Excel 2007 and Above:The SS ribbon only appears when <strong>Spreadsheet</strong> <strong>Server</strong> is selected as an add-in to Excel.Note: If the ribbon does not appear, go to Settings and click the Add Excel Ribbon button (see User Settings).Menu ItemView LogRecalcPC CacheGenerate ReportsDrill DownInsert TableSummarize <strong>with</strong> Pivot TableHide Zero Balance RowsRestore Hidden RowsFormula AssistantBuild a TemplateDescriptionOpens the Log Viewer panel, where the <strong>use</strong>r may view in<strong>for</strong>mation anderror log entries, copy selected log entries, email or clear the log file(see View Log Entries).Recalculates all <strong>for</strong>mulas in the workbook. Click on the arrow to accessadditional functions (i.e. recalculate <strong>for</strong>mulas <strong>for</strong> workbook, worksheet orselection, fix broken links, etc.).Opens the PC Cache panel, listing the cached records (seeReview/Refresh PC Cache). Click on the arrow to access additionalfunctions.Generates detail reports <strong>for</strong> all GXE and GXECC <strong>for</strong>mulas in theworkbook (see Expand Detail Reports (GXE) - Account Detail,Expand Detail Reports (GXE) - Journals Only, GXECC -Expand Detail Reports by Category Code - Account Details andGXECC - Expand Detail Reports by Category Code -Journal Entry Details). Click on the arrow to access additional functions(i.e. all or selected GXEs, etc.).Opens the Drill Down panel, displaying account balances which make upthe calculated amount (see Drill Down to Detailed Account Balancesand Drill Down to Multiple Column Account Balances).Opens the Create Table panel, allowing the <strong>use</strong>r to create a table <strong>for</strong> aselected range of data.Opens the Pivot Table ribbon, allowing the <strong>use</strong>r to create a pivot tableusing the data in the selected table.Hides any spreadsheet row containing GXA <strong>for</strong>mulas in which the netresult is zero <strong>for</strong> all cells (see Hide Rows <strong>with</strong> Zero Balances).Displays previously hidden rows (see Hide Rows <strong>with</strong> Zero Balances).Opens the Formula Assistant panel, allowing the <strong>use</strong>r to maintainparameters <strong>for</strong> a <strong>for</strong>mula (see Formula Assistant).Opens the Build a Template panel, allowing the <strong>use</strong>r to quickly create atemplate on a <strong>Spreadsheet</strong> <strong>Server</strong> spreadsheet (see Build a Template).


Getting Started 14Menu ItemSegment ListsData ValidationView Account BalancesEnableDisableSettingsDescriptionOpens the Maintain Segment Lists panel, allowing the <strong>use</strong>r to createand/or maintain segment lists (see Create/Maintain Segment Lists).Opens the Data Validation panel, allowing the <strong>use</strong>r to create a validationlist <strong>for</strong> a specific cell in Excel (see Data Validation).Opens the View Account Balances panel, displaying balances <strong>for</strong> theselected accounts and allowing <strong>for</strong> drill down to the journals and journalentry lines <strong>for</strong> the listed accounts (see View Account Balances).Opens the Sign On panel, allowing the <strong>use</strong>r to start <strong>Spreadsheet</strong> <strong>Server</strong>(see Starting <strong>Spreadsheet</strong> <strong>Server</strong>).Closes the connection and disables <strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mulas (seeDisable / Enable <strong>Spreadsheet</strong> <strong>Server</strong> Formula Calculations).Opens the Settings panel, allowing the <strong>use</strong>r to define various criteria tocontrol processing (see User Settings).<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


15<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M93.2 Starting <strong>Spreadsheet</strong> <strong>Server</strong>1. Start Excel.2. In Excel from the SS-Not Started menu, select Start <strong>Spreadsheet</strong> <strong>Server</strong> -or- select the SS ribbonequivalent (see SS Ribbon). The Sign On to <strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>JD</strong>E dialog box appears.3. On the Sign On dialog box identify the following in<strong>for</strong>mation:· User ID (SS signon)· Password (optional SS password assigned in the Configurator)· Retrieve Account Balances (local database)· Work in Local Mode <strong>with</strong>out a ConnectionNote: When working <strong>with</strong>out a connection, the <strong>use</strong>r only has access to account balances in the localdatabase file, and as a result drill-downs to journals or list accounts will not be functional. Inaddition, the system continues to verify the <strong>use</strong>r is a valid SS <strong>use</strong>r, thus the <strong>use</strong>r must have theConfigurator on their hard drive.4. Click OK.Note: When Unattended Sign-On is activated steps 2, 3, and 4 are not applicable.


Getting Started 163.3 User SettingsUser Settings allow the <strong>use</strong>r to define various criteria to control processing.1. In Excel from the S<strong>Server</strong> menu, select Settings. The Settings panel appears.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar -or- SS Ribbon) -or- from the desktop by selecting Start>All Programs><strong>Global</strong><strong>Software</strong> SS<strong>JD</strong>E><strong>Spreadsheet</strong> <strong>Server</strong> Settings.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


17<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M92. Use the table to enter data on the Miscellaneous tab of the Settings panel, or to access other functions.FieldBase CurrencyNo Record FoundDefault Number of DecimalPositionsAlternative Language Code<strong>Inc</strong>lude Accounts <strong>with</strong> Net ZeroBalanceAccounts Segments DelimiterDo Not <strong>Inc</strong>lude MA Code andMA Type Fields <strong>for</strong> JournalDrilldownsDo Not <strong>Inc</strong>lude GLALID Field(Outsider Lease) in JournalDrilldownsQuarter PeriodsLanguageSubsystem Batch TypesEnhanced LoggingButtonView LogAdd Excel RibbonDescriptionIdentifies the default base currency to <strong>use</strong> <strong>for</strong> GXA calculations. Enteran * <strong>for</strong> blank currency.Identifies the message to display in a cell if no data is found.Controls the number of decimal positions displayed <strong>for</strong> dollar amounts.Identifies the alternative language from the F0901D file to be <strong>use</strong>d <strong>for</strong>displaying account descriptions. Leave the field blank to retrieveaccount descriptions from the F0901 file.Indicates to include accounts <strong>with</strong> activity but a net zero balance <strong>for</strong> theselected time frame in the account balances drill down panel.Identifies the type of delimiter to <strong>use</strong> between each of the accountsegments.Indicates to exclude MA Code and MA Type fields as data output <strong>for</strong>journal drill downs and GXE journal entry detail expanded reports.Indicates to exclude the GLALID (Outsider Lease/Well ID) field as dataoutput <strong>for</strong> journal drill downs and GXE journal entry detail expandedreports.Indicates the starting and ending period numbers <strong>for</strong> each of the fourquarters.Indicates the language to <strong>use</strong> <strong>for</strong> the S<strong>Server</strong> Menu.Identifies the single character batch type codes that are <strong>use</strong>d <strong>for</strong> theapplicable subsystems. Choices should be separated by a comma.Indicates to record additional error message logging. Once an error hasbeen resolved, clear the log file and to de-select the option <strong>for</strong> optimalprocessing. Refer to View Log Entries <strong>for</strong> more in<strong>for</strong>mation.Nav Tip: Use the View Log button to display, email or clear the log file.When the Enhanced Logging option is selected, an additional button,View Log, appears on the <strong>Spreadsheet</strong> <strong>Server</strong> ribbon in Excel.FunctionDisplays the Log Viewer panel, where the <strong>use</strong>r may see in<strong>for</strong>mation anderror log entries, copy selected log entries, email or clear the log file.Refer to View Log Entries <strong>for</strong> more in<strong>for</strong>mation.Registers and adds the custom <strong>Spreadsheet</strong> <strong>Server</strong> ribbon in Excel.The button is only available when the ribbon is not currently registered<strong>for</strong> an Excel 2007 (or above) <strong>use</strong>r.


Getting Started 183. Use the table to enter data on the PC Databases tab of the Settings panel.FieldSegment Lists FilePC Local Database LocationPC Budget Database LocationAd Hocs LocationConfiguration LocationDescriptionIdentifies the location <strong>for</strong> the Segment Lists database. This may be alocal or network drive.Identifies the location <strong>for</strong> the Local.MDB database. This location is alsoupdated from the Load Local Database panel.Identifies the location <strong>for</strong> budget data that has been loaded from<strong>Global</strong>'s Budget Manager product.Identifies the location of the SQL queries <strong>use</strong>d <strong>for</strong> ad hoc drill-downs.This generally resides on a network drive. For more in<strong>for</strong>mation on adhocs, contact <strong>Global</strong>.Identifies the location <strong>for</strong> the Configurator database. This is generally anetwork drive. In order to work disconnected from a host, this must belocated on the <strong>use</strong>r's local drive.4. Click Add Excel Ribbon to register and add the custom <strong>Spreadsheet</strong> <strong>Server</strong> ribbon in Excel. The button is onlyavailable when the ribbon is not currently registered <strong>for</strong> an Excel 2007 (or above) <strong>use</strong>r.5. Click OK to write changes and exit.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


19<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M94 Load Local PC Databases (optional)Within <strong>Spreadsheet</strong> <strong>Server</strong>, the option exists to download account balance in<strong>for</strong>mation into local databases,allowing <strong>for</strong> optimized calculation speeds. This is an excellent option <strong>for</strong> producing <strong>Spreadsheet</strong> <strong>Server</strong>reports once the books have been closed and the analytical tasks have been per<strong>for</strong>med in real time. The timespent loading the local databases is greatly offset by the dramatically reduced spreadsheet calculation times.A <strong>use</strong>r's ability to process the Load Local PC Database function or to access local databases created <strong>with</strong>in<strong>Spreadsheet</strong> <strong>Server</strong> is determined by parameter settings on the <strong>use</strong>r's User Setting tab in the Configuratorcomponent.1. From the desktop, select Start>All Programs><strong>Global</strong> <strong>Software</strong> SS<strong>JD</strong>E>Load Local PC Database. TheLogin to Load Local dialog box appears.2. On the Login to Load Local dialog box, specify the <strong>use</strong>r ID and password, and click OK. The Load PCLocal Databases panel appears. Each step in the load process is represented by individual tabs.3. Local Files Location: A separate MDB file of balances is created <strong>for</strong> each distinct year, ledger type, andconfiguration combination. The top portion of the Local Files Location panel identifies the location <strong>for</strong> theMDB files. Click the Browse button and select a location <strong>for</strong> the local database files. The bottom portionof the panel displays a list of existing files previously downloaded to this location.


Load Local PC Databases (optional) 204. Ledger Selections: The Ledger Selections panel is <strong>use</strong>d to enter selection criteria <strong>for</strong> determining whichyear/type combinations are available <strong>for</strong> loading, and then to select <strong>for</strong> which year/type combinations toactually build the load. Use the table to enter data on the Ledger Selections panel.FieldSelection Criteria:Fill from ScheduledConfigurationFrom YearTo YearSpecific Ledger TypesSummarize Balances by CO,BU, OBJ, and SUBUse Weekly F0902B <strong>for</strong>SelectionsDescriptionClick the ellipse button ( ) to populate data in the Selection Criteriasection from a previously scheduled load.Identify the host configuration from which to retrieve account balances.Use the drop down list to select the appropriate configuration.Identify the from reporting year.Identify the to reporting year.Identify the reporting ledger type(s). To select multiple ledger types,separate the types by a comma (i.e. AA, BA, CU).Select the check box to indicate to summarize account balances whenexecuting the load.Select the check box to indicate to retrieve weekly account balancesfrom the Weekly F0902B file when executing the load.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


21<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9FieldAccount MaskAccount Mask SQL<strong>JD</strong>E Ledger Balances to Load:Populate Selection ListYear/Type/# of RecordsRecords to be LoadedDescriptionIf desired, specify the account mask(s) <strong>for</strong> which to retrieve balances. Ifnot specified, the system retrieves balances <strong>for</strong> all accounts. Whenentering an account mask the company, business unit, object accountand sub-account are required elements of the account string and mustbe delimited by a dash (i.e. 00060-51-1110-123). An account mask maybe any account parameter that can be <strong>use</strong>d in a SS <strong>for</strong>mula, includingsingle account segments, ranges, wildcards, value lists and segmentlists.· To add an account mask, key the account mask in the field and clickthe Add button.· To remove an account mask, select the desired account mask in thelist and click the Remove button.· To remove all account masks, click the Clear All button.· To retrieve account masks from the Configurator <strong>for</strong> the current <strong>use</strong>r,click the Profile button.Note: Regardless of the Account Masks defined and included in the loadlocal database, normal <strong>use</strong>r security continues to apply when using<strong>Spreadsheet</strong> <strong>Server</strong>.Displays the SQL statement to be <strong>use</strong>d to retrieve the account mask(s).Click this button to populate the grid <strong>with</strong> specific account balancecriteria from the host database.Click the desired year/type combination(s) to be downloaded.· To select multiple year/type combinations, press and hold the Ctrl keyand click on the desired year/type in the grid.· To select all year/type combinations, click the Select All button.· To deselect all previously selected year/type combinations, click theUnselect All button.Based upon the selected year/type combinations, the system displaysthe number of records to be loaded.


Load Local PC Databases (optional) 225. Per<strong>for</strong>mance Indexes: The Per<strong>for</strong>mance Indexes panel lists the available business unit and objectaccount category codes, and allows <strong>for</strong> the <strong>use</strong>r to select up to a maximum of 22 of the most popularcategory codes <strong>use</strong>d <strong>with</strong>in <strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mulas. The system will create special indexes <strong>for</strong> theselected category codes, and <strong>use</strong> these indexes to reduce the time required to process spreadsheetcalculations.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


23<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M96. Load Databases: The Load Databases panel provides various options as to when to execute the loadprocess (i.e. immediately or scheduled). Use the table to enter data on the Load Databases panel.Note: Ensure all preceding steps have been completed prior to entering data on the Load Databasespanel.FieldLoad Now:Custom UpdateLoad (Button)DescriptionSelect the check box <strong>for</strong> the load to find and replace records <strong>for</strong> only theaccounts defined in the Account Mask section on the Ledger Selectionstab. Otherwise, the system will first clear the load file and then processthe load <strong>for</strong> only the accounts defined in the Account Mask section onthe Ledger Selections tab.When all preceding steps are complete, click the Load button to executethe load process immediately.


Load Local PC Databases (optional) 24FieldSchedule Load:Schedule to RunOne Time Only:DescriptionIdentify the timeframe <strong>for</strong> which to schedule the execution of the load.Appropriate processing fields become input capable. Valid options areOne Time Only, Daily, Weekly and Monthly.Note: Scheduled tasks may be altered via Load Local PC Database orMicrosoft Window Scheduled Tasks; however, they may only bestopped or deleted via Microsoft Window Scheduled Tasks.Nav Tip: To access Microsoft Window Scheduled Tasks, from thedesktop click Start>Control Panel>Scheduled Tasks.Note: Scheduled loads require the PC to be powered on; however, the<strong>use</strong>r does not have to be signed into the operating system.One Time Only is <strong>use</strong>d <strong>for</strong> a single run of the scheduler. This optionrequires the <strong>use</strong>r to assign a Start Date and Start Time to execute theone time run.Daily:Daily is <strong>use</strong>d <strong>for</strong> multiple daily consecutive loads. This options requiresthe <strong>use</strong>r to assign a Start Date, Start Time, and Recur Every specifiednumber of Days or Hours.Note: When using Hours, the system begins <strong>with</strong> the Start Time andadds the assigned number of hours up until midnight to create thescheduled tasks.Weekly:Weekly is <strong>use</strong>d <strong>for</strong> multiple loads <strong>for</strong> one or more days on a consecutivenumber of weeks. This options requires the <strong>use</strong>r to assign a Start Date,Start Time, Recur Every specified Weeks <strong>for</strong> each selected Weekday.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


25<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9FieldMonthly:DescriptionMonthly is <strong>use</strong>d <strong>for</strong> multiple loads <strong>for</strong> a specific day of each selectedmonth. This options requires the <strong>use</strong>r to assign a Start Date, StartTime, Days (specific day of the month) -or- the specific week and day ofthe week <strong>for</strong> each selected Month.Windows Credentials:Schedule (Button)Close Window and Exit afterScheduled Load CompletesCopy Loaded Database toSelect the check box to indicate to allow the scheduled job to run whilethe <strong>use</strong>r is logged off the PC, and specify the User ID and Password tobe <strong>use</strong>d <strong>for</strong> the scheduled load. The User ID defaults to the <strong>use</strong>r loggedto the workstation. The Password must be valid <strong>for</strong> the scheduler toschedule the future load.When all Schedule Load related fields are complete, click the Schedulebutton to schedule the load process.Select the check box to indicate to close the execution panel at theconclusion of the load.Select the check box to indicate to copy the loaded database to asecond location, and <strong>use</strong> the browse button to navigate to and select thedesired location to which to copy the loaded database.7. When the scheduled date and time are reached, the program will reconnect to the host and initiate theload process, loading the balances based upon selections to the appropriate MDB file in the Local Filelocation. During the process, the system displays various stat<strong>use</strong>s (see below).


Building <strong>Spreadsheet</strong>s 265 Building <strong>Spreadsheet</strong>s<strong>Spreadsheet</strong> <strong>Server</strong> retrieves financial data from the General Ledger into Excel using the following <strong>for</strong>mulas:· GXD - Returns an account description (see GXD Formula)· BUDESC - Returns a business unit description (see BUDESC Formula)· CODESC - Returns a company description (see CODESC Formula)· GXA - Returns an account balance (see GXA Formula <strong>for</strong> Account Values)· GXAB - Returns a weekly account balance (see GXAB Formula <strong>for</strong> Weekly Balances)· GXSALES - Returns sales totals (see GXSALES Formula)· FXA - Returns a fixed asset account balance (see FXA Formula)· GXE - Explodes summary data line into detail data lines (see GXE - Expand Detail Reports -Account Details and GXE - Expand Detail Reports - Journal Entry Details)· GXECC - Explodes summary data line into detail data lines <strong>for</strong> Category Codes (see GXECC -Expand Detail Reports by Category Code - Account Details and GXECC -Expand Detail Reports by Category Code - Journal Entry Details)· GXC - Customized <strong>for</strong>mula based on a query. Contact <strong>Global</strong> <strong>for</strong> configuration of new <strong>for</strong>mulas.· SSLDESC - Returns a segment list description (see SSLDESC Formula)These <strong>for</strong>mulas can be <strong>use</strong>d in a spreadsheet cell in the same manner as other spreadsheet functions.<strong>Spreadsheet</strong> <strong>Server</strong> provides tools <strong>for</strong> starting a spreadsheet (see Build a Template) and <strong>for</strong> entering<strong>for</strong>mulas (see Formula Assistant).<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


27<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.1 Build a TemplateThe Build a Template is a tool <strong>use</strong>d to aid in quickly creating a <strong>Spreadsheet</strong> <strong>Server</strong> template <strong>with</strong>in aspreadsheet. This tool may be <strong>use</strong>d to create a new worksheet, populating the necessary rows and columns<strong>with</strong> the required parameters and account segment values as provided by the <strong>use</strong>r, and inserting theappropriate <strong>for</strong>mula (GXA, GXAB and FXA) using these parameters. In addition, the tool may be <strong>use</strong>d toinsert the required rows and columns <strong>use</strong>d <strong>for</strong> the <strong>for</strong>mulas into an existing non-<strong>Spreadsheet</strong> <strong>Server</strong>worksheet.Create a New Worksheet1. In Excel from the S<strong>Server</strong> menu, select Build a Template. The Build a Template panel appears.Nav Tip:This panel may also be accessed by selecting the SS ribbon equivalent (see SS Ribbon).2. Use the following table to enter data on the Build a Template panel.FieldFormula:ConfigGXA / FXA / WeeklySheet Status:Blank / Non-BlankTarget CellDescriptionUse the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Identify the <strong>for</strong>mula to be created. Valid options are GXA, GXAB (selectthe GXA radio button and the Weekly check box) and FXA.Identify whether using a new (Blank) or existing (Non-Blank) worksheet.For new spreadsheets, this displays where the template will start. Forexisting worksheets, this displays where the <strong>for</strong>mula will be placed.


Building <strong>Spreadsheet</strong>s 28FieldAccount Segments:CompanyBusiness UnitObject AccountSub AccountRow / ColSub Ledger:Not Using Sub LedgerSegmentsSL TypeSL NameAsset Number / Category:Asset / CatNumberCode / ValueColumn Parameters:Ledger TypeYearFormatPeriodBase CurrencyDescriptionSpecify the company, business unit, object account, and sub accountportions of the account string. Each segment in the account string maybe a single value, mask, range, value list or segment list.Specify if the account segment will be located in the templateparameters column or by default, on the template account segment row.Note: When the column option is selected, the associated field isrepositioned to the Column Parameters section on the panel.These fields only appear when the GXA <strong>for</strong>mula type is selected.Select the check box to indicate that sub ledger related segments willnot be <strong>use</strong>d as part of the account segments in the <strong>for</strong>mula.Specify the sub ledger type and sub ledger name portions of the accountstring. Each segment in the account string may be a single value, mask,range, value list or segment list.These fields only appear when the FXA <strong>for</strong>mula type is selected.Identify whether using the asset number or fixed asset category code inthe FXA <strong>for</strong>mula.Specify a single asset number or asset mask.Specify a category code number and a category code value.Identify the ledger type code containing the balances.Identify the reporting year. Value may be selected from a drop down list.Identify the time range <strong>for</strong> which to retrieve balances. Value <strong>for</strong>mats arePER, QTR, RANGE, YTD, LTD, BLTD, BLTDAPR, and BLTDREQ.Value may be selected from a drop down list.Identify the period, quarter number or range of periods (i.e. 1.5 <strong>for</strong>periods 1 thru 5) <strong>for</strong> the specified <strong>for</strong>mat.If desired, identify a valid currency code. Leave blank to <strong>use</strong> the basecurrency assigned in the <strong>use</strong>r settings or enter '***' to retrieve all.3. Click the Modify Current Worksheet button to push parameters and <strong>for</strong>mula values to the worksheet.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


29<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9Modify an Existing Non-<strong>Spreadsheet</strong> <strong>Server</strong> Worksheet1. Start <strong>with</strong> an existing non-<strong>Spreadsheet</strong> <strong>Server</strong> worksheet in Excel. Select the first cell to be populated<strong>with</strong> a <strong>for</strong>mula (i.e. B6 in the spreadsheet below), then from the S<strong>Server</strong> menu, select Build a Template -or- select the SS ribbon equivalent (see SS Ribbon). The Build a Template panel appears.2. Enter the appropriate values on the Build a Template panel (see Step 2 in the Create a New Worksheetsection above).3. Click the Modify Current Worksheet button to push column and row parameters, and <strong>for</strong>mula values to theworksheet.


31<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M93. Use the table to enter <strong>for</strong>mula specific data on the GXA - Formula Assistant panel.FieldGXA:WeeklyColumn Parameters:Ledger TypeYearFormatPeriodCurrency CodeAccount String:Company, BU, Obj Acct,Sub Acct, SL Type, SL NameNot Using Sub LedgerSegmentsBU Status Code:Budget Manager:ConfigTarget CellDescriptionReturns a single balance from the ledger. For more in<strong>for</strong>mation refer toGXA Formula <strong>for</strong> Account Values andGXAB Formula <strong>for</strong> Weekly Balances.Select the check box to indicate to retrieve weekly balances (GXAB<strong>for</strong>mula).This area assumes that the parameters will be laid out in a column, soentering the first value and clicking on the down arrow will populate therest of the fields. For example, if the cell reference entered <strong>for</strong> theledger type field is H1, then clicking on the down arrow will populate thefollowing fields <strong>with</strong> H2, H3, etc.Identify the ledger type code containing the balances.Identify the reporting year.Identify the time range <strong>for</strong> which to retrieve balances. Value <strong>for</strong>mats arePER, QTR, RANGE, YTD, LTD, BLTD, BLTDAPR, and BLTDREQ.Identify the period, quarter number or range of periods (i.e. 1.5 <strong>for</strong>periods 1 thru 5) <strong>for</strong> the specified <strong>for</strong>mat.If desired, identify a valid currency code.Identify the required accounts segments to be <strong>use</strong>d by the <strong>for</strong>mula. Thisarea assumes that the segments will be laid out next to each other onone row, so entering a value and clicking on the right arrow will populatethe rest of the fields. For example, if the cell reference entered <strong>for</strong> thefirst account segment is A13, then clicking on the right arrow willpopulate the following fields <strong>with</strong> B13, C13, etc.Select the check box to indicate that sub ledger related segments willnot be <strong>use</strong>d as part of the account segments in the <strong>for</strong>mula.Select the check box to indicate to include the business unit status codeas part of the <strong>for</strong>mula criteria. If the check box is selected, then selectthe appropriate radio button to indicate whether to compare the businessunit status code to blank, not blank or a value. Specific valid values areK, N, and P (or the cell reference containing the value).Note: When a specific value is entered, double quotes are not requiredaround the value.Select the check box to indicate to retrieve budget amounts that havebeen loaded into <strong>Spreadsheet</strong> <strong>Server</strong> from <strong>Global</strong>'s Budget Manager. Ifthe check box is selected, then identify the budget name and budgetversion number (or the cell reference containing the values).Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.


Building <strong>Spreadsheet</strong>s 324. Use the table to enter <strong>for</strong>mula specific data on the GXC - Formula Assistant panel.FieldGXC:QueryParm 01-14Adhoc Query SQLConfigTarget CellDescriptionUsed to specify the values <strong>for</strong> a customized <strong>for</strong>mula. Contact <strong>Global</strong> <strong>for</strong>configuration of the new <strong>for</strong>mula.Identify the custom adhoc query to be <strong>use</strong>d <strong>for</strong> the customized <strong>for</strong>mula.Use the drop down list to select the desired query.Specify the appropriate parameters <strong>for</strong> the customized <strong>for</strong>mula. Fieldvalues will vary based upon the requirements <strong>for</strong> the customized<strong>for</strong>mula.Displays the SQL statement the query will execute based on the queryselected.Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


33<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95. Use the table to enter <strong>for</strong>mula specific data on the GXD - Formula Assistant panel.FieldGXD:Account String:Company, BU, Obj Acct,Sub AcctConfigTarget CellDescriptionReturns the account description <strong>for</strong> a particular account. For morein<strong>for</strong>mation refer to GXD Formula.Identify the required accounts segments to be <strong>use</strong>d <strong>for</strong> retrieving theaccount description. This area assumes that the segments will be laidout next to each other on one row, so entering a value and clicking onthe right arrow will populate the rest of the fields. For example, if the cellreference entered <strong>for</strong> the first account segment is A13, then clicking onthe right arrow will populate the following fields <strong>with</strong> B13, C13, etc.Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.


Building <strong>Spreadsheet</strong>s 346. Use the table to enter <strong>for</strong>mula specific data on the GXE - Formula Assistant panel.FieldGXE:Expanded (GXE) -or- (GXECC)Account Details:Target Sheet NameSource Sheet NameTarget Row # / Range NameSource Row #Summarize AccountsCategory CodeDescriptionExplodes summary line data into detail data lines. For more in<strong>for</strong>mationrefer to GXE - Expand Detail Reports - Account Details, GXE -Expand Detail Reports - Journal Entry Details, GXECC -Expand Detail Reports by Category Code - Account Details andGXECC - Expand Detail Reports by Category Code -Journal Entry Details.Select the appropriate radio button to indicate whether using the GXE orGXECC <strong>for</strong>mula. Available parameters will vary based upon the <strong>for</strong>mulatype selected.This area assumes that the parameters will be laid out in a column, soentering the first value and clicking on the down arrow will populate therest of the fields. For example, if the cell reference entered <strong>for</strong> the targetsheet name is B13, then clicking on the down arrow will populate thefollowing fields <strong>with</strong> B14, B15, etc.Identify the name of the worksheet that contains the final <strong>for</strong>mattedworksheet and will receive the expanded account details.Identify the name of the worksheet that contains the summary <strong>for</strong>mulasthat will be expanded.Identify the first row number or the range name on the target worksheetto begin inserting the expanded detail.Identify the row number in the source worksheet that contains thesummary <strong>for</strong>mulas.For GXE, identify whether or not to summarized by account.For GXECC, identify the category code to be expanded.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


35<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9FieldJournal Entry Details:Generate Journal DetailSheetGXA Source Column to UserTarget Sheet NameTarget Starting Cell<strong>Inc</strong>lude HeadingsAutofit ColumnsGenerate TotalsConvert to Excel 2007 TableConfigTarget CellDescriptionThis area assumes that the parameters will be laid out in a column, soentering the first value and clicking on the down arrow will populate therest of the fields. For example, if the cell reference entered <strong>for</strong> the GXAsource column is E13, then clicking on the down arrow will populate thefollowing fields <strong>with</strong> E14, E15, etc.Select the check box to indicate to include an expansion of journal entrydetails as part of the GXE or GXECC <strong>for</strong>mula.Identify the column on the source worksheet <strong>for</strong> which to expand journalentry details.Identify the name of the worksheet that will receive the expanded journalentry details.Identify the starting cell location on the target worksheet to begininserting the exploded journal entry detail.Indicate whether or not to include headings when expanding journalentry details.Indicate whether or not to autofit columns when expanding journal entrydetails.Indicate whether or not to generate account subtotals as well as a grandtotal when expanding journal entry details.Indicate whether or not to place the expanded journal entry details into atable. When this option is utilized, the system creates a new table onthe specified target sheet and assigns the next available standard Exceltable name. In addition, headings are always included and a grand totalline is generated; however, no account subtotals are generated.Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.


Building <strong>Spreadsheet</strong>s 367. Use the table to enter <strong>for</strong>mula specific data on the GXSALES - Formula Assistant panel.FieldGXSALES:Total FieldTotal TypeCriteria # 01 - 07Value CellRetrieve Data from the SalesHistory File (F42119)ConfigTarget CellDescriptionReturns sales totals based upon sales criteria. For more in<strong>for</strong>mationrefer to GXSALES Formula.Select the field to be totaled from the drop down list.Select the type of total (i.e. Summary, Count) from the drop down list.Select the field(s) to be <strong>use</strong>d as filtering criteria <strong>for</strong> the <strong>for</strong>mula from thedrop down list.Note: To clear a criteria field, double click on the Criteria # label.Identify the cell location containing the selection value <strong>for</strong> thecorresponding criteria field.Select the check box to retrieve data from the Sales History file(F42119). Otherwise, data is retrieved from the Sales Order Detail file(F4211).Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


37<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M98. Use the table to enter <strong>for</strong>mula specific data on the FXA - Formula Assistant panel.FieldFXA:Column Parameters:Ledger TypeYearFormatPeriodCurrency CodeAccount String:Company, BU, Obj Acct,Sub Acct, Asset / CategoryConfigTarget CellDescriptionReturns a fixed asset account balance. For more in<strong>for</strong>mation refer toFXA Formula.This area assumes that the parameters will be laid out in a column, soentering the first value and clicking on the down arrow will populate therest of the fields. For example, if the cell reference entered <strong>for</strong> theledger type field is H1, then clicking on the down arrow will populate thefollowing fields <strong>with</strong> H2, H3, etc.Identify the ledger type code containing the balances.Identify the reporting year.Identify the time range <strong>for</strong> which to retrieve balances. Value <strong>for</strong>mats arePER, QTR, RANGE, YTD, LTD, BLTD, BLTDAPR, and BLTDREQ.Identify the period, quarter number or range of periods (i.e. 1.5 <strong>for</strong>periods 1 thru 5) <strong>for</strong> the specified <strong>for</strong>mat.If desired, identify a valid currency code.Identify the required accounts segments, including the asset number -orcategorycode to be <strong>use</strong>d by the <strong>for</strong>mula. This area assumes that thesegments will be laid out next to each other on one row, so entering avalue and clicking on the right arrow will populate the rest of the fields.For example, if the cell reference entered <strong>for</strong> the first account segmentis A13, then clicking on the right arrow will populate the following fields<strong>with</strong> B13, C13, etc.Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.


Building <strong>Spreadsheet</strong>s 389. Use the table to enter <strong>for</strong>mula specific data on the DESC - Formula Assistant panel.FieldDESC:Description (CODESC),(BUDESC) -or- (SSLDESC)Value CellConfigTarget CellDescriptionReturns the description <strong>for</strong> a particular company, business unit orsegment list. For more in<strong>for</strong>mation refer to CODESC Formula,BUDESC Formula or SSLDESC Formula.Select the appropriate radio button to indicate whether retrieving thedescription <strong>for</strong> a company, a business unit, or a segment list.Identify the cell location containing the value <strong>for</strong> which to retrieve thecorresponding description.Use the drop down list to select the host configuration to be <strong>use</strong>d. Thisfield only appears <strong>for</strong> <strong>use</strong>rs <strong>with</strong> access to multiple configurations.Displays the <strong>for</strong>mula's target cell location.10. After the appropriate data has been entered and verified, click one of the following buttons.· Excel -- copies the <strong>for</strong>mula to the previously selected cell on the current worksheet.· Clipboard -- copies the <strong>for</strong>mula to the Windows clipboard.· Cancel -- closes the panel.11. To enter or modify <strong>for</strong>mula parameters <strong>for</strong> another cell, while the Formula Assistant panel is still openselect the desired cell on the Excel worksheet and click the Reset button. The Formula Assistant displaysthe appropriate <strong>for</strong>mula tab panel and displays the parameters <strong>for</strong> the <strong>for</strong>mula <strong>for</strong> the selected cell.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


39<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.3 GXD FormulaUse the GXD <strong>for</strong>mula to retrieve an account description <strong>for</strong> a single account string. For multi-hostconfiguration environments, the literal 'SS' and the configuration number are added to the <strong>for</strong>mula name. Forexample: SSGXD2, SSGXD3.Syntax:=GXD("Account String")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXD <strong>for</strong>mulas to identify parameters.Parameters:Account StringThe account string represents the company, business unit, object account and sub-account delimited by adash <strong>for</strong> which to retrieve the account description.Formula Example:=GXD("00001-1-1110-FIB")Retrieves the account description <strong>for</strong> the account string 00001-1-1110-FIB (CO-BU-ACCT-SUB).


Building <strong>Spreadsheet</strong>s 405.4 BUDESC FormulaUse the BUDESC <strong>for</strong>mula to retrieve a description <strong>for</strong> a single business unit. For multi-host configurationenvironments, the configuration number is appended to the <strong>for</strong>mula name. For example: BUDESC2,BUDESC3.Syntax:=BUDESC("Business Unit")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in BUDESC <strong>for</strong>mulas to identify parameters.Formula Example:=BUDESC("3")Retrieves the description <strong>for</strong> business unit 3.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


41<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.5 CODESC FormulaUse the CODESC <strong>for</strong>mula to retrieve a description <strong>for</strong> a single company. For multi-host configurationenvironments, the configuration number is appended to the <strong>for</strong>mula name. For example: CODESC2,CODESC3.Syntax:=CODESC("Co")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in CODESC <strong>for</strong>mulas to identify parameters.Formula Example:=CODESC("00060")Retrieves the description <strong>for</strong> company 00060.


Building <strong>Spreadsheet</strong>s 425.6 GXA Formula <strong>for</strong> Account ValuesUse the GXA <strong>for</strong>mula to retrieve account balances <strong>for</strong> a selected ledger type, in a specific <strong>for</strong>mat <strong>for</strong> areporting period. For multi-host configuration environments, the literal 'SS' and the configuration number areadded to the <strong>for</strong>mula name. For example: SSGXA2, SSGXA3.Syntax:=GXA("Account String","Ledger Type","Year","Format","Period","Currency","BU Status")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXA <strong>for</strong>mulas to identify parameters.Parameters:Account StringThe account string represents the company, business unit, object account, sub-account, subledger type,and subledger name delimited by a dash. The company, business unit, and object account are requiredelements. Each segment in the account string may be a single value, mask, range, value list or segmentlist.Note: Syntax examples are listed below. (For more in<strong>for</strong>mation refer to Using Value Lists in a GXA Formulaand Using Segment Lists in a GXA Formula.)Single Value 8000 Retrieves value 8000.Mask (wildcard) * Retrieves all values.Mask (wildcard) 85* Retrieves values starting <strong>with</strong> 85.BLANK Value BLANK Retrieves all blank values.NOTBLANK Value NOTBLANK Retrieves all non blank values.Range 8000.8599 Retrieves values 8000 thru 8599.Value List (single values) [8000,8250,8370] Retrieves values 8000, 8250 and 8370.Value List (range and single value) [8000.8599,8750] Retrieves values 8000 thru 8599, and 8750.Value List (range and exclude [8000.8599,/8375] Retrieves values 8000 thru 8599, excludingvalue)8375.Segment List ^CASH Retrieves all values in CASH segment list.Ledger TypeIdentifies the ledger type code that contains the account balances.YearYear identifier.FormatFormat options are:<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


43<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9PERQTRRANGEYTDLTDBLTDBLTDAPRBLTDREQPeriod activity <strong>for</strong> the selected monthActivity <strong>for</strong> the periods included in the selected quarter number or period range specifiedActivity <strong>for</strong> a range of periods specifiedActivity <strong>for</strong> periods 1 thru the designated period number excluding the opening balanceActivity <strong>for</strong> periods 1 thru the designated period number including the opening balanceActivity <strong>for</strong> period 1 thru the designated period number including the original budget amount(Budget Ledger Type)Activity <strong>for</strong> periods 1 thru the designated period number including the approved budgetamount (Budget Ledger Type)Activity <strong>for</strong> periods 1 thru the designated period number including the requested budgetamount (Budget Ledger Type)Note: If any value other than one of the Format values listed above is entered, then PER is applied.PeriodCorresponds to period, quarter number, or range of periods (i.e. 1.5 <strong>for</strong> periods 1 thru 5) <strong>for</strong> the specified<strong>for</strong>mat.Ledger Type Format Period(s) ResultsActual PER 0 Retrieves balance <strong>for</strong>ward amountBudget BLTD or PER 0 or 55 Retrieves beginning original budget amountBudget BLTDAPR or PER 0 or 56 Retrieves beginning approved budget amountBudget BLTDREQ or PER 0 or 57 Retrieves beginning requested budget amountActual orBudgetPER, QTR orRANGEX.XPulls activity <strong>for</strong> a range of periods where X.Xrepresents the beginning and ending range of periodnumbersCurrencyIdentifies the currency code <strong>for</strong> the account balances. If not specified, the system <strong>use</strong>s the base currencyfrom the <strong>use</strong>r's settings. Enter '***' to retrieve all currencies.Note: In <strong>JD</strong>E currency amounts are stored in one of two fields, GBCRCX or GBCRCD. If the <strong>for</strong>mula is notreturning values, insert an X be<strong>for</strong>e the currency.Example: =GXA("00060-61-8400","AA","2008","PER","6","XUSD")BU Status(Optional) Identifies the business unit status to be <strong>use</strong>d <strong>for</strong> selecting purposes. The parameter syntax is"BUSTAT:X", where X is one of the following values: BLANK, NOTBLANK, K, N or P.Example: =GXA("00060-61-8400","AA","2008","PER","6","USD","BUSTAT:BLANK")Note: It is recommended to place the BU status value in a separate cell, and then <strong>use</strong> the Formula Assistantto create/maintain the <strong>for</strong>mula (see Formula Assistant).


Building <strong>Spreadsheet</strong>s 44Formula Example - Using Single Values:=GXA("00060-61-8400","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> company 00060, business unit61, account 8400.Formula Example - Using Masks:=GXA("00060-6*-51*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> company 00060, all businessunits starting <strong>with</strong> 6, and all accounts starting <strong>with</strong> 51.Formula Example - Using a Range:=GXA("00060-61-8100.8300-*-*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> accounts 8100 thru 8300.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


45<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.7 GXAB Formula <strong>for</strong> Weekly BalancesUse the GXAB <strong>for</strong>mula to retrieve weekly account balances from a particular ledger type/currency, in aspecific <strong>for</strong>mat, <strong>for</strong> an individual weekly bucket. The GXAB <strong>for</strong>mula is a duplicate of the GXA <strong>for</strong>mula, <strong>with</strong>the exception of adding a 'B' to the <strong>for</strong>mula name, and replacing the reporting period <strong>with</strong> the reporting week.For multi-host configuration environments, the literal 'SS' and the configuration number are added to the<strong>for</strong>mula name. For example: SSGXAB2, SSGXAB3.Syntax:=GXAB("Account String","Ledger Type","Year","Format","Period (Week)","Currency","BU Status")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXAB <strong>for</strong>mulas to identify parameters.Parameters:Period (Week)Corresponds to the weekly bucket <strong>for</strong> the specified <strong>for</strong>mat.Note: The other parameters are the same as in the GXA <strong>for</strong>mula (see GXA Formula <strong>for</strong> Account Values).Formula Example - Using Single Values:=GXA("00060-61-8400","AA","2008","PER","27","***")Retrieves the actual activity <strong>for</strong> week 27 of 2008 from the AA ledger type <strong>for</strong> company 00060, business unit61, account 8400.


Building <strong>Spreadsheet</strong>s 465.8 GXA Formula <strong>for</strong> Budget DataUse the GXA (or GXAB) <strong>for</strong>mula to retrieve original, approved, or requested budget amounts from the hostledger. By using specific <strong>for</strong>mat types (BLTD, BLTDAPR, BLTDREQ), it is possible to report on multiplebudgets. The example below illustrates the required parameters.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


47<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.9 GXA Formula <strong>for</strong> Budget Manager DataUse the GXA (or GXAB) <strong>for</strong>mula to retrieve budget amounts that have been loaded from <strong>Global</strong>'s BudgetManager into <strong>Spreadsheet</strong> <strong>Server</strong>.Syntax:=GXA("Account String","Ledger Type","Year","Format","Period","Currency Code","Budget:Name:Revision")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXA/GXAB <strong>for</strong>mulas to identify parameters.Parameters:Budget ParameterIdentifies the budget name and budget revision from which to retrieve budget amounts. The parametersyntax is "BUDGET:nnn:123", where nnn is the budget name and 123 is the budget revision.Note: It is recommended to place the budget name and budget revision in separate cells, and then <strong>use</strong> theFormula Assistant to create/maintain the <strong>for</strong>mula (see Formula Assistant).Note: The other parameters are the same as in the GXA or GXAB <strong>for</strong>mula (seeGXA Formula <strong>for</strong> Account Values or GXAB Formula <strong>for</strong> Weekly Balances).Formula Example:=GXA("00060-61-5100","BB","2008","PER","6","***","BUDGET:<strong>JD</strong>E2008:5")Retrieves the budget activity <strong>for</strong> period 6 of 2008 from the BB ledger type <strong>for</strong> company 00060, business unit61, account 5100 using the <strong>JD</strong>E2008 budget, revision 5.


Building <strong>Spreadsheet</strong>s 485.10 Using Category Codes or Business Unit Type in a GXA FormulaBusiness unit or object account category codes, and business unit type may be <strong>use</strong>d directly <strong>with</strong>in a GXA (orGXAB) <strong>for</strong>mula. The category code or business unit type or code/type combinations are <strong>use</strong>d in place of thebusiness unit or object account values <strong>with</strong>in the account string parameter.Syntax:=GXA("@Category Code:Value","Ledger Type","Year","Format","Period","Currency")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXA/GXAB <strong>for</strong>mulas to identify parameters.Parameters:Category CodeIdentifies category code number to <strong>use</strong> <strong>for</strong> reporting. Valid category codes are 00 <strong>for</strong> business unit type, 01-30 <strong>for</strong> business units, or 01-43 <strong>for</strong> object accounts.ValueIdentifies category code or business unit type value. A single value, mask, range or segment list may be<strong>use</strong>d.Note: The other parameters are the same as in the GXA or GXAB <strong>for</strong>mula (seeGXA Formula <strong>for</strong> Account Values or GXAB Formula <strong>for</strong> Weekly Balances).Formula Example - Using a Single Value <strong>for</strong> Business Unit:=GXA("00060-@02:260-*-*-*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> business unit category code 02<strong>with</strong> a value of 260.Formula Example - Using a Range of Business Units:=GXA("00060-@02:100.300-*-*-*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> business unit category code 02<strong>with</strong> a value in the range of 100 thru 300.Formula Example - Using a Mask <strong>for</strong> Business Unit:=GXA("00060-@02:21*-*-*-*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> business unit category code 02<strong>with</strong> a value that begins <strong>with</strong> 21.Formula Example - Using a Single Value <strong>for</strong> Business Unit Type:=GXA("00060-@00:123-*-*-*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> business unit type 123.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


49<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.11 Using Value Lists in a GXA FormulaA list of values may be entered <strong>for</strong> an account segment directly in a cell on a worksheet. The list of valuesmay include single values, a range of values, a wild carded value, an excluded value (indicated by inserting '/'prior to the value), or a segment list. Enclose the value list in square brackets [ ] and <strong>use</strong> a comma (,) toseparate values in the list.Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXA/GXAB <strong>for</strong>mulas to identify parameters.Formula Example:=GXA("00060-61-[8000.8300,/8150]-*-*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> accounts 8000 thru 8300,excluding account 8150.


Building <strong>Spreadsheet</strong>s 505.12 List Accounts <strong>for</strong> a GXA or FXA FormulaThis feature allows <strong>for</strong> listing account numbers which will be <strong>use</strong>d in the calculation of a GXA (or GXAB) andFXA <strong>for</strong>mula.1. Select the desired cell that contains the GXA, GXAB or FXA <strong>for</strong>mula in question and right-click. A popupmenu appears.2. From the popup menu, select SS Display Accounts. The Display Chart of Accounts panel appears.3. Review the accounts listed in the grid to ensure the <strong>for</strong>mula is retrieving the appropriate accounts.4. To modify the list of accounts being displayed on the Display Chart of Account panel, alter the values inthe account segment criteria fields and click the View button.Note: Modifying the filter does not change the account segment values in the spreadsheet cell beingreferenced by the GXA, GXAB or FXA <strong>for</strong>mula.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


51<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.13 GXSALES FormulaUse the GXSALES <strong>for</strong>mula to retrieve sales totals based upon sales criteria. Sales data may be retrievedfrom either the Sales Order Detail file (F4211) or the Sales Order History file (F42119). For multi-hostconfiguration environments, the configuration number is appended to the <strong>for</strong>mula name. For example:GXSALES2, GXSALES3.The Formula Assistant must be <strong>use</strong>d to build and maintain GXSALES <strong>for</strong>mulas.Parameters:Total FieldIdentifies the related sales field to be totaled. Total field options are:DescriptionExtended PriceOpen AmountExtended CostTrade DiscountGross WeightQty OrderedQty ShippedQty BackorderedQty CanceledQty OpenQty Shipped To-DateQty CommittedTable.FieldF4211.SDAEXPF4211.SDAOPNF4211.SDECSTF4211.SDTRDCF4211.SDGRWTF4211.SDUORGF4211.SDSOQSF4211.SDSOBKF4211.SDSOCNF4211.SDUOPNF4211.SDQTYTF4211.SDSONE


Building <strong>Spreadsheet</strong>s 52Total TypesIdentifies the type of total to be calculated. Valid types are Summary, Count, Minimum, Maximum, andAverage.Criteria / ValueIdentifies up to 7 criteria parameters and the associated value to be <strong>use</strong>d <strong>for</strong> selecting data. The list ofavailable selection criteria fields is maintained in the Configurator by the administrator.Retrieve Data from Sales History FileIdentifies to retrieve data from the sales history file (F42119) instead of the sales order detail file (F4211).Create a New GXSALES Formula:Example 1: Shows how to create a GXSALES <strong>for</strong>mula to display the total sales <strong>for</strong> business unit DEPOT1, inaddition to all business units that fall in the range of 10 through 99, excluding business unit 40.Example 2: Shows how to create a GXSALES <strong>for</strong>mula to display the average sales based upon sales whoseorder date falls in the range of 6/1/2005 through 6/30/2005, <strong>for</strong> business unit 30 and order type SO.1. Enter selection criteria values on a worksheet. The GXSALES <strong>for</strong>mula will ultimately <strong>use</strong> this selectioncriteria to filter the sales data to be processed.Example 1: Create/label a cell called Business Unit List. In the example, this is cell B2 and it has beenidentified as a value list [Depot1,10.99/40] (see Using Value Lists in a GXA Formula).Example 2: Create/label cells <strong>for</strong> Order Date Range, Business Unit and Order Type. In the example,these are cells E1, E2 and E3 and they have been identified as the date range of 6/1/2005 through6/30/2005, business unit 30 and order type SO.2. On the spreadsheet, select the cell in which you desire to place the GXSALES <strong>for</strong>mula. Then in Excelfrom the S<strong>Server</strong> menu, select Formula Assistant, and then select the GXSALES tab. The GXSALES -Formula Assistant panel appears.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon).3. Select the desired total field and total type values from the drop down lists.4. Select the criteria field from the drop-down list and enter the corresponding Excel column/row location inthe Value Cell field. Each GXSALES <strong>for</strong>mula may have up to seven (7) criteria identified. To clear acriteria field, double-click on the Criteria # label.Hint: Shortcut <strong>for</strong> selecting cell references:· On the worksheet, select the desired cell.· On the Formula Assistant panel, double click in the desired text box to paste the cell reference ofthe cell previously selected on the worksheet.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


53<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9Hint: If necessary, <strong>use</strong> F4 to lock either the row and/or column value of the cell reference.Example 1:Example 2:5. If desired, select the Retrieve Data from the Sales History check box to indicate to retrieve data the historyfile (F42119). Otherwise data is retrieved from the sales order detail file (F4211).6. Click the Excel button to paste the GXSALES <strong>for</strong>mula into Excel -or- click the Clipboard button to copy the<strong>for</strong>mula to the Windows Clipboard.Example 1:


Building <strong>Spreadsheet</strong>s 54Example 2:Modify an Existing GXSALES Formula:1. From the spreadsheet, click on the cell that contains the GXSALES <strong>for</strong>mula.2. In Excel from the S<strong>Server</strong> menu, select Formula Assistant. The GXSALES - Formula Assistant panelappears.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon).3. Make any required changes.4. Click the Excel button to paste the GXSALES <strong>for</strong>mula into Excel -or- click the Clipboard button to copy the<strong>for</strong>mula to the Windows Clipboard.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


55<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.14 FXA FormulaUse the FXA <strong>for</strong>mula to retrieve a fixed asset account balance and drill down to asset details. The FXA<strong>for</strong>mula <strong>use</strong>s the Fixed Assets Balance file (F1202) <strong>for</strong> its calculations. For multi-host configurationenvironments, the literal 'SS' and the configuration number are added to the <strong>for</strong>mula name. For example:SSFXA2, SSFXA3.Syntax:=FXA("Account String","Ledger Type","Year", "Format","Period", "Asset Number or CategoryCode","Currency")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in FXA <strong>for</strong>mulas to identify parameters.Parameters:Account StringThe account string represents the company, business unit, object account, sub-account, subledger type,and subledger name delimited by a dash. The company, business unit, and object account are requiredelements. Each segment in the account string may be a single value, mask, range, value list or segmentlist.Note: Syntax examples are listed below. (For more in<strong>for</strong>mation refer to Using Value Lists in a GXA Formulaand Using Segment Lists in a GXA Formula.)Single Value 8000 Retrieves value 8000.Mask (wildcard) * Retrieves all values.Mask (wildcard) 85* Retrieves values starting <strong>with</strong> 85.BLANK Value BLANK Retrieves all blank values .NOTBLANK Value NOTBLANK Retrieves all non blank values.Range 8000.8599 Retrieves values 8000 thru 8599.Value List (single values) [8000,8250,8370] Retrieves values 8000, 8250 and 8370.Value List (range and single value) [8000.8599,8750] Retrieves values 8000 thru 8599, and 8750.Value List (range and exclude [8000.8599,/8375] Retrieves values 8000 thru 8599, excludingvalue)8375.Segment List ^CASH Retrieves all values in CASH segment list.Ledger TypeIdentifies the ledger type code that contains the account balances.YearYear identifier.FormatFormat options are PER, QTR, RANGE, YTD, and LTD.PeriodCorresponds to period, quarter number, or range of periods (i.e. 1.5 <strong>for</strong> periods 1 thru 5) <strong>for</strong> the specified<strong>for</strong>mat.


Building <strong>Spreadsheet</strong>s 56Asset Number or Category CodeRepresents the asset number or fixed asset category code contained <strong>with</strong>in the Fixed Assets balances file.· A single value, mask, range, segment list or value list may be <strong>use</strong>d to reference an asset number.· For category codes, the syntax is a @ character, the category code number, a semicolon and the value ofthe category code (i.e. @04:CAT). Fixed Asset Category Code segment lists may also be <strong>use</strong>d (i.e.^MyFACatCodes) (see Create/Maintain Segment Lists). Refer to Fixed Asset Category Codes <strong>for</strong> a list ofavailable category codes.CurrencyIdentifies the currency code <strong>for</strong> the account balances. If not specified, the system <strong>use</strong>s the base currencyfrom the <strong>use</strong>r's settings. Enter '***' to retrieve all currencies.Formula Example - Using a Single Asset:=FXA("00050-50-2020","AA","2008","LTD","5","1006","USD")Retrieves the life-to-date balance <strong>for</strong> a single account string and a single asset number (1006).Formula Example - Using an Asset Mask:=FXA("00050-50-2120","AA","2008","LTD","5","*","USD")Retrieves the life-to-date balances <strong>for</strong> a single account string <strong>for</strong> all asset numbers.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


57<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9Formula Example - Using a Category Code:=FXA("00050-50-2030","AA","2008","LTD","5","@04:CAT","USD")Retrieves the life-to-date balances <strong>for</strong> a single account string <strong>for</strong> assets <strong>with</strong> the value "CAT" <strong>for</strong> CategoryCode 04.


Building <strong>Spreadsheet</strong>s 585.14.1 Fixed Asset Category CodesFixed Assets category codes may be <strong>use</strong>d directly <strong>with</strong>in a FXA <strong>for</strong>mula. For fixed asset category codes, thesyntax is an @ character, the category code number, a colon, and the value of the category code (i.e.@04:CAT).Below is a listing of the Fixed Assets category codes and their corresponding fields in the F1201 file/table.Category Code Number01 FAACL002 FAACL103 FAACL204 FAACL305 FAACL406 FAACL507 FAACL608 FAACL709 FAACL810 FAACL911 FAFA012 FAFA113 FAFA214 FAFA315 FAFA416 FAFA517 FAFA618 FAFA719 FAFA820 FAFA921 FAFA2122 FAFA2223 FAFA23Corresponding F1201 Field<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


59<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.15 Segment Lists5.15.1 Create/Maintain Segment ListsSegment Lists are <strong>use</strong>d to create a hierarchy of individual segments, business unit category codes, accountcategory codes or fixed asset category codes which can be <strong>use</strong>d in a GXA (or GXAB) or FXA <strong>for</strong>mula. Asegment list may be <strong>use</strong>d <strong>with</strong>in a standard GXA <strong>for</strong>mula by replacing any of the account segment values <strong>with</strong>the desired segment list name. A caret symbol (^) must be inserted prior to the segment list name in the<strong>for</strong>mula <strong>for</strong> the system to recognize the segment list. A <strong>use</strong>r's ability to create/maintain segment lists from<strong>with</strong>in Excel is determined by a parameter setting on the <strong>use</strong>r's User Setting tab in the Configuratorcomponent.To Create a New Segment List1. In Excel from the S<strong>Server</strong> menu, select Segment Lists. The Segment Lists panel appears.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon) -or- from the desktop, by selecting Start>All Programs><strong>Global</strong><strong>Software</strong> SS<strong>JD</strong>E>Maintain Segment Lists.2. To create a new segment list, click the Add a New Segment List icon ( ) on the toolbar. The SegmentList Profile panel appears.


Building <strong>Spreadsheet</strong>s 603. Use the table to enter data on the Segment List Profile panel.FieldList TypeList NameDescriptionDescriptionIdentify whether the segment list will be based upon segments(company, business unit, account, sub), business unit category codes,account category codes, fixed assets category codes, or a combinationof values and category codes.Identify a unique name <strong>for</strong> the segment list. This name will be <strong>use</strong>d inthe <strong>for</strong>mula.Identify a description <strong>for</strong> the segment list.4. Click the Save button to create the record. Within the same panel a new tab will open to a blank panel.The panel displayed will vary based upon the list type assigned to the segment list.· Segment List -- see Enter Values <strong>for</strong> Segment Lists· Category List (Business Unit, Account, Fixed Assets) -- see Enter Values <strong>for</strong> Category Code Lists· Combined List -- see Enter Values <strong>for</strong> Combined ListsTo Maintain an Existing Segment List1. In Excel from the S<strong>Server</strong> menu, select Segment Lists. The Segment Lists panel appears (see above).Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon) -or- from the desktop, by selecting Start>All Programs><strong>Global</strong><strong>Software</strong> SS<strong>JD</strong>E>Maintain Segment Lists.2. To sort the segment lists in the grid by name, type or description, click on the desired column header. Tore-sort in descending order, click the desired column header a second time.3. To filter the segment lists in the grid, enter the selection criteria into each appropriate column filter field.Alphanumeric fields filter character by character.4. To modify a segment list, select the segment list and click the Edit the Selected Segment List icon ( )on the toolbar -or- double click the desired segment list. The appropriate List Values panel (i.e. SegmentList, Category Codes or Combined Lists) appears displaying the values <strong>for</strong> the selected segment list.Segment list values may be added or removed as necessary.5. To copy a segment list, select the segment list and click the Save As (Clone Selected Segment List) icon( ) on the toolbar. The Clone Segment List panel appears. Enter the list name and description <strong>for</strong> thenew segment list and click the Save button.6. To delete a segment list, select the segment list and click the Delete the Selected Segment List icon( ) on the toolbar.7. To paste a segment list name to a cell on a spreadsheet, select the segment list and click the Copy theSegment List Name to Windows Clipboard icon (desired cell and click the Paste button.) on the toolbar. On the spreadsheet, select the8. To lock a segment list, select the segment list and click the Change Locked/Unlocked Status icon ( )on the toolbar. The Segment List is Currently Unlocked panel appears. Enter and verify the password,and click the Lock button. Locking the segment list allows other <strong>use</strong>rs to access the segment list butprevents changes from being made.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


61<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99. To unlock a segment list, select the segment list and click the Change Locked/Unlocked Status icon( ) on the toolbar. The Segment List is Currently Locked panel appears. Enter the valid password,and click the Unlock button.10. To print a list of segment list(s), select the segment list(s) and click the Print Selected Segment Lists icon( ) on the toolbar. The Segment Lists Print Options panel appears. Select whether to print selected orall segment lists, and select whether or not to print detail in<strong>for</strong>mation. Click OK. The system generates alist in Notepad which may be printed.11. To add account category codes 23-43 to the list of valid account category codes, click the Add AccountCategories 23-43 icon () on the toolbar.


Building <strong>Spreadsheet</strong>s 625.15.2 Enter Values <strong>for</strong> Segment ListsWhen adding or maintaining values <strong>for</strong> a segment list, the Segment List Values panel appears if the list type<strong>for</strong> the segment list is a segment list.1. In the Value field enter the segment values to include <strong>for</strong> the criteria and click the Add button. Segmentlists can be <strong>use</strong>d <strong>for</strong> any portion of the account string (company, business unit, object account, subaccount,subledger code or subledger name). Single segment values, ranges, wildcards or other segmentlists may be <strong>use</strong>d. A slash ('/') in front of a value is the equivalent of an "exclude".Notes:· "Or" criteria is assumed when selecting multiple values (unless preceded by a slash).· "BLANK" or "NOTBLANK" (mixed case) may also be <strong>use</strong>d as a value.· If a single value which includes a period is required, substitute the period <strong>with</strong> a # sign.2. Repeat step 1 until all segment values <strong>for</strong> the segment list have been added.3. To remove a value from the segment list, select the value in the grid and click the Remove button. Or toremove all values from the segment list, click the Clear All button.4. To purge the balances in the PC Cache file <strong>for</strong> the segment list, click the Purge from PC Cache button.This action may be taken when segment list values have been altered.5. When the segment list is complete, click the Close button.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


63<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.15.3 Enter Values <strong>for</strong> Category Code ListsWhen adding or maintaining values <strong>for</strong> a segment list, the Category List Values panel appears if the list type<strong>for</strong> the segment list is a business unit category list, an account category list or a fixed asset category list.1. In the Category field, <strong>use</strong> the drop down list to select the appropriate category code (business unit,account, or fixed asset) <strong>for</strong> the segment list. The drop down list values are based upon the list typeassigned to the segment list.2. In the Value field, key the desired value to be included in the segment list and click the Add button. Singlevalues, ranges, wildcards, or the not equal to symbol may be <strong>use</strong>d. A slash ('/') in front of a value isthe equivalent of an "exclude".Notes:· "Or" criteria is assumed when specifying multiple values from the same Category Code.· "And" criteria is assumed when specifying values <strong>for</strong> different Category Codes.· "BLANK" or "NOTBLANK" (mixed case) may also be <strong>use</strong>d as a value.· If a single value which includes a period is required, substitute the period <strong>with</strong> a # sign.· Only single values may be specified if using the Not Equal () criteria. Values such as 18* or 18700.19500 are not allowed.3. Repeat step 2 until all values <strong>for</strong> the segment list have been added.4. To remove a value from the segment list, select the value in the grid and click the Remove button. Or toremove all values from the segment list, click the Clear All button.5. To purge the balances in the PC Cache file <strong>for</strong> the segment list, click the Purge from PC Cache button.This action may be taken when segment list values have been altered.6. When the segment list is complete, click the Close button.


Building <strong>Spreadsheet</strong>s 645.15.4 Enter Values <strong>for</strong> Combined ListsWhen adding or maintaining values <strong>for</strong> a segment list, the Combined List Values panel appears if the list typeis a combined list.1. Use the OR/AND radio buttons to specify the transition logic between the values or groups, thus indicatingwhether or not the values in the grouping must meet both criteria (AND) or only meet one criteria (OR) tobe included in the segment list.Note: The or/and selection criteria is ignored <strong>for</strong> the first list value.2. In the Group field, specify an ID number <strong>for</strong> grouping different lines in the list together. The field may beblank <strong>for</strong> the first grouping or if grouping is not required <strong>for</strong> the list.3. In the Category/Segment field, specify the type of value to be entered on the line. Use the drop down listto select the appropriate category/segment. Valid options are:· Company Segment· Business Unit Segment· Object Account Segment· Sub Account Segment· Sub Ledger Type Segment· Sub Ledger Name Segment· Business Unit Type (based upon MCSTYL in F0006)· GMR001 - GMR023 (based upon account category codes 1-43)· MCRP01 - MCRP30 (based upon business unit category codes 1-30)<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


65<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M94. In the Value field, key the desired values to be included in the segment list and click the Add button.Single values, ranges, wildcards, or the not equal to symbol may be <strong>use</strong>d. A slash ('/') in front of avalue is the equivalent of an "exclude".Notes:· "BLANK" or "NOTBLANK" (mixed case) may also be <strong>use</strong>d as a value.· If a single value which includes a period is required, substitute the period <strong>with</strong> a # sign.· Only single values may be specified if using the Not Equal () criteria. Values such as 18* or 18700.19500 are not allowed.5. Repeat steps 1 through 4 until all values <strong>for</strong> the segment list have been added.6. To review the final combined list, click the Evaluate List button. The List Evaluation popup panel appearsdisplaying the syntax that will be <strong>use</strong>d in the <strong>for</strong>mula.7. To remove a value from the segment list, select the value in the grid and click the Remove button. Or toremove all values from the segment list, click the Clear All button.8. To purge the balances in the PC Cache file <strong>for</strong> the segment list, click the Purge from PC Cache button.This action may be taken when segment list values have been altered.9. When the segment list is complete, click the Close button.


Building <strong>Spreadsheet</strong>s 665.15.5 Enter Descriptions <strong>for</strong> Category CodesEach of the business unit, account and fixed assets category code descriptions may be changed in<strong>Spreadsheet</strong> <strong>Server</strong> to properly reflect its <strong>use</strong>.1. In Excel from the S<strong>Server</strong> menu, select Segment Lists. The Segment Lists panel appears.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon) -or- from the desktop, by selecting Start>All Programs><strong>Global</strong><strong>Software</strong> SS<strong>JD</strong>E>Maintain Segment Lists.2. Click the Category Code Descriptions icon ( ) on the toolbar. The Category Descriptions tab appearsshowing the default descriptions.3. Select the appropriate Category Type radio button to choose which descriptions to update.4. Change the description by double-clicking the corresponding description and entering the new description.5. When complete, click the Close button.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


67<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.15.6 Using Segment Lists in a GXA FormulaA segment list may be <strong>use</strong>d <strong>with</strong>in the standard GXA (or GXAB) <strong>for</strong>mula, by replacing any of the accountsegments <strong>with</strong> the desired segment list name. A caret symbol (^) must be inserted prior to the segment listname in the <strong>for</strong>mula <strong>for</strong> the system to recognize the segment list.Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in GXA or GXAB <strong>for</strong>mulas to identify parameters.Formula Example:=GXA("00060-^R&D-6*-*","AA","2008","PER","6","***")Retrieves the actual activity <strong>for</strong> period 6 of 2008 from the AA ledger type <strong>for</strong> company 00060, all businessunits in the R&D segment list, and all accounts starting <strong>with</strong> 6.


Building <strong>Spreadsheet</strong>s 685.15.7 SSLDESC FormulaUse the SSLDESC <strong>for</strong>mula to retrieve the description <strong>for</strong> a segment list.Syntax:=SSLDESC("Segment List")Note: It is most common to <strong>use</strong> cell references <strong>with</strong>in SSLDESC <strong>for</strong>mulas to identify parameters.Formula Example:=SSLDESC("^R&D")Retrieves the segment list description <strong>for</strong> the R&D segment list.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


69<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95.15.8 View or Modify Segment List Values from <strong>with</strong>in Excel<strong>Spreadsheet</strong> <strong>Server</strong> allows a <strong>use</strong>r to view from a worksheet, the values contained in a specific segment list.The <strong>use</strong>r may also modify the values "on the fly". Segment lists can be shared among all <strong>Spreadsheet</strong> <strong>Server</strong><strong>use</strong>rs, so caution should be exercised when making modifications. A <strong>use</strong>r's ability to maintain segment listsfrom <strong>with</strong>in Excel is determined by a parameter setting on the <strong>use</strong>r's User Setting tab in the Configuratorcomponent.1. From the spreadsheet, right click on the cell that contains the desired segment list. A popup menuappears.2. On the popup menu, select SS Display Accounts. The appropriate List Values panel (i.e. Segment List,Category Codes or Combined Lists) appears displaying the values <strong>for</strong> the selected segment list. Refer toEnter Values <strong>for</strong> Segment Lists, Enter Values <strong>for</strong> Category Code Lists or Enter Values <strong>for</strong> Combined Lists<strong>for</strong> more in<strong>for</strong>mation about segment lists.3. Segment list values may be added or removed as necessary.4. When the segment list is complete, click the Close button.


Building <strong>Spreadsheet</strong>s 705.15.9 Synchronize Segment ListsThe Synchronize Segment Lists function allows <strong>for</strong> the transfer of segment list definitions from one location toanother. This process would be applicable if a <strong>use</strong>r's segment list database resides on their local drive butthey required updates from a centrally maintained segment list database.1. In Excel from the S<strong>Server</strong> menu, select Segment Lists. The Segment Lists panel appears.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon) -or- from the desktop, by selecting Start>All Programs><strong>Global</strong><strong>Software</strong> SS<strong>JD</strong>E>Maintain Segment Lists.2. Click the Synchronize Segment Lists icon ( ) on the toolbar. The Synchronize Segment Lists tabappears displaying the segment lists from the current location as defined in the <strong>use</strong>r settings.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


71<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M93. Click the Browse button to navigate to and select the secondary segment list database. The systemdisplays the segment lists from the secondary location in the bottom grid.4. Select the desire segment list(s) to be synced and click the appropriate Arrow button.· To sync a single segment list -- select the desired list.· To sync multiple segment lists -- press and hold the Ctrl key as records are selected on the grid rows.· To sync multiple segment lists in a range -- select the first list in the range, press and hold the Shift key,and select the last list in the rangeNote: To push changes from the current location to the secondary location, select the desired segmentlists to be synced in the current list grid and click the Down Arrow button.To pull changes from the secondary location into the current location, select the desired segmentlists to be synced in the secondary list grid and click the Up Arrow button.


Calculations 726 Calculations6.1 Calculation OptionsMultiple options are available <strong>for</strong> retrieving and calculating data <strong>with</strong>in <strong>Spreadsheet</strong> <strong>Server</strong>.1. By default, the calculation function <strong>with</strong>in Excel is set to calculate automatically. <strong>Global</strong> stronglyrecommends setting this value to manual so that all required spreadsheet changes or additions can becompleted prior to re-calculating.Nav Tip:For Excel 2003 and Prior, this setting is found on the Calculation tab <strong>with</strong>in Excel'sTools>Options menu.Nav Tip:For Excel 2007 and Above, this setting is found in the Calculation Options section on the Excel'sOptions Formulas panel.· Click the Office button. The Office Menu panel appears.· Click the Excel Options button. The Excel Options panel appears.· Select Formulas. The Excel Options Formula panel appears.2. The following options are available <strong>for</strong> calculating spreadsheets:F2+EnterF9Shift+F9Ctrl+Alt+F9Calculates the active cell.Calculates all worksheets in all open workbooks.Calculates the active worksheet.Calculates all worksheets in all open workbooks, regardless of whether they havechanged since the last calculation.Nav Tip:The majority of these options are also available by selecting the SS ribbon equivalent (seeSS Ribbon).<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


73<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M96.2 Review/Refresh PC CacheWhen spreadsheets are calculated, <strong>Spreadsheet</strong> <strong>Server</strong> stores the account balances in the PC's cachedatabase. <strong>Spreadsheet</strong> <strong>Server</strong> first looks at the PC cache <strong>for</strong> account balances prior to retrieving the datafrom the host. As a result, it may be necessary to clear and recalculate the PC cache file when any of thefollowing occur:· Data has changed on the host system since the prior calculation.· A segment list has changed since the prior calculation.· The accounts profile has changed since the prior calculation.1. In Excel from the S<strong>Server</strong> menu, select PC Cache. The PC Cache panel appears displaying the cachedrecords.Nav Tip:This panel may also be accessed by selecting the SS ribbon equivalent (see SS Ribbon).2. To refresh the account balances during an Excel session, the cache records should be cleared. Click theClear All button to clear all records in the cache. To clear selective records, select certain records andclick the Clear Selected button.3. After the cache records have been cleared, click Recalculate Excel After Close check box to recalculatethe spreadsheet once this cache panel is closed.4. To automatically trigger the PC Cache refresh, in Excel from the S<strong>Server</strong> menu select Clear PC Cacheand Recalculate.Note: This refresh may also be launched by using the shortcut key Shift+Ctrl+R -or- by selecting the SStoolbar or ribbon equivalent (see SS Toolbar or SS Ribbon).


Drill Down Functionality 747 Drill Down Functionality7.1 General Grid FeaturesThe SS Drill Down function allows <strong>for</strong> multiple consecutive <strong>for</strong>mula drill downs. Each <strong>for</strong>mula's drill down ispresented in its own panel. Within each of the drill down grids of <strong>Spreadsheet</strong> <strong>Server</strong> the following featuresexist:Ad Hoc DrillDownsRe-sortColumnsResize/HideColumnsMove ColumnsDynamicColumnGroupingsTo drill down from a predefined grid to in<strong>for</strong>mation retrieved by an ad hoc query, selectthe desired records on the grid. Right click and select Ad Hoc Drill Down. On the AdHoc Queries panel, select the query to be <strong>use</strong>d <strong>for</strong> drill down and click Execute. Contact<strong>Global</strong> <strong>for</strong> more in<strong>for</strong>mation on ad hoc queries.To re-sort a column in ascending order, click the column heading. To re-sort a column indescending order, click the column heading a second time.To resize or hide a column, position the mo<strong>use</strong> at the edge of a column header and thecursor changes to a double arrow, then drag right or left to resize or hide the column.To move a column, click and hold on the desired column header, then drag the columnright or left to the desired position.To selectively summarize the amount columns by any column and to group the recordsby any column, drag the column heading into the summary section of the panel. Multiplelevels of summarization can be created.Filter RowEach column <strong>with</strong>in any of the grids can be filtered by entering values into theappropriate column filter. Alphanumeric fields filter character by character. Numericfields filter upon entry of the full field value.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


75<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9CustomizeGrid Layout From any drill down panel, click on the Expand button ( ) in the top left corner ofthe grid. A Grid Action panel appears giving the <strong>use</strong>r export and copy options, availablelayouts to apply to the current drill down panel, and layout control options <strong>for</strong> new drilldown layout design. Refer to Custom Grid Layouts <strong>for</strong> more in<strong>for</strong>mation.Export to Excel Select the desired records in the grid and click Export to Excel on the Grid Action panel.The Export to Excel panel appears below the data grid. Refer to Export to Excel <strong>for</strong>more in<strong>for</strong>mation.CopySelect the desired records in the grid and click Copy to Clipboard on the Grid Actionpanel. The selected records are copied to the Windows clipboard.Autosize To automatically resize column widths in a grid to the maximum length required <strong>for</strong> theColumns header and/or data, click Autofit Grid Columns on the Grid Action panel.Manage GroupTotalsQuick ExitTo add subtotals to grouped columns click Manage Group Totals on the Grid Actionpanel. The Group Totals panel appears below the grid data. The columns available <strong>for</strong>subtotaling will appear in the left side of the panel <strong>with</strong> a check box. Selecting and deselectingthe check box turns on or off the subtotaling of the column. The subtotal valueappears under the selected header. Refer to Manage Group Totals <strong>for</strong> morein<strong>for</strong>mation.Note: Columns must be filtered prior to grouping. Also a filtered column that is groupedmust be ungrouped to remove the filter.To close all drill down windows and return to Excel, click the Excel button (right hand corner of the grid.) in the top


Drill Down Functionality 767.1.1 Export to Excel1. On the drill down panel, click the Expand button ( ) in the top left corner of the grid. The Grid Action panelappears.2. From the drill down grid, select the desired record(s):· To export a single record -- select the desired record.· To export select multiple records -- press and hold the Ctrl key as records are selected on the grid rows.· To export multiple records in a range -- select the first record in the range, press and hold the Shift key, andselect the last record in the range.· To export all records -- from the Grid Action panel select Select All -or- while in the grid right click and fromthe popup panel select Select All Rows.3. From the Grid Action panel, select Export to Excel. The Export to Excel panel appears below the grid data.4. Use the table to enter data on the Export to Excel panel.FieldExcel Target:Worksheet, Range Name orTableTargetStarting CellConvert to Table<strong>Inc</strong>lude Column HeadersFormat Non-Numeric Cellsas TextDescriptionSelect the appropriate radio button to indicate whether to export to aworksheet, range or table destination. Available parameters will varybased upon the option selected.From the drop down list, select an existing worksheet, range or table towhich to send the export data. When the Worksheet option is selected,a new name may be keyed in the field and the system will create thenew worksheet when exporting the data.When the Worksheet option is selected, specify the starting cell intowhich to place the data.When the Worksheet option is selected, select the check box to indicateto create a new table when exporting the data -and- specify the name tobe assigned to the new table in the associated field.Select the check box to indicate to include column headers in the export.Select the check box to indicate <strong>for</strong> the system to <strong>for</strong>mat non-numerictarget cells as text.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


77<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9FieldSubtotals:At Each Change InAdd Subtotal ToGenerate Outline <strong>for</strong>SubtotalsButtonExport to ExcelCloseReset SubtotalDescriptionNote: Subtotal options are not available when either the Excel TargetTable or Convert to Table option is selected.From the drop down list, select the column(s) to subtotal.Note: If column grouping has been defined in the data grid, the columngrouped will automatically appear as a selected value.Select the corresponding check box to indicate to subtotal based on thechosen columns.Select the check box to indicate to activate Excel row grouping bysubtotal <strong>for</strong> the exported data.DescriptionExports selected data to the target worksheet.Closes the Export to Excel panel and redisplays the drill down grid.Clears all previously selected subtotal values.5. Once all criteria is complete, click the Export to Excel button. The system exports the data, and displays theworksheet displaying the exported data.


Drill Down Functionality 787.1.2 Custom Grid LayoutsAll drill down grids may be customized to a specific <strong>use</strong>r's preference. Similar to columns in an Excelworksheet, columns in the drill down grids may be hidden, resized and moved to different positions, etc. A<strong>use</strong>r may create as many customized grid layouts as desired <strong>for</strong> future drill downs. In addition, a <strong>use</strong>r mayassign a customized layout as the default layout <strong>for</strong> that specific grid; however, other <strong>use</strong>rs are not affected.Note: <strong>Spreadsheet</strong> <strong>Server</strong> offers many different levels of drill down. Each level of drill down utilizes differentdata content. This requires each drill down level to utilized separate grid layouts. Custom drill downlayout created <strong>for</strong> one drill down level and will not be accessible <strong>for</strong> other drill down levels. (i.e CustomJournal Entry drill down layouts are not available <strong>for</strong> Subsystem Detail drill downs.)On the drill down panel, click the Expand button ( ) in the top left corner of the grid. The Grid Actionpanel appears. The following layout functions are accessible <strong>for</strong> all drill down grids.Save Current LayoutA grid layout may be modified and then saved <strong>for</strong> future <strong>use</strong>.1. After grid columns have been set to <strong>use</strong>r preferences, click Save Current Layout. The Save Layout Aspanel appears.2. On the Save Layout As panel, key the new grid layout name.3. Click OK.Save Current Layout AsAn existing grid layout may be modified and then saved as a different layout.1. After grid columns have been set to <strong>use</strong>r preferences, click Save Current Layout As. The Save Layout Aspanel appears.2. On the Save Layout As panel, key the new grid layout name.3. Click OK.Remove Layout from ListA grid layout may be removed from the <strong>use</strong>r's list of available layouts.1. From the drop down list of layouts, select the grid layout to be removed.2. Click Remove Layout from List. A confirmation panel appears.3. On the confirmation panel, click the Yes button to remove the layout.Make Layout the DefaultA grid layout may be assigned as the <strong>use</strong>r's default <strong>for</strong> each future time the drill down grid is opened.1. From the drop down list of layouts, select the grid layout to be assigned as the default layout.2. Click Make Layout the Default.Note: Hover the mo<strong>use</strong> pointer over the Make Layout the Default text to display the name of the currentdefault layout.Restore Installed Default LayoutThe installed default grid layout may be restored by selecting _Basic from the drop down list of layouts.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


79<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M97.1.3 Manage Group TotalsAll drill down grids may have grouped columns subtotaled as part of the grid layout.Note: Columns must be filtered prior to grouping. In addition, a filtered column that is grouped must beungrouped to remove the filter.1. On the drill down panel, click the Expand button ( ) in the top left corner of the grid. The Grid Actionpanel appears.2. From the Grid Action panel, select Manage Group Totals. The Manage Group Totals panel appearsbelow the data grid.3. Select the check box next the value to add subtotals.4. Click the Set Totals button. The column grouped will have subtotals displayed in the column of the value.5. Click the Remove All button to remove all set subtotals.


Drill Down Functionality 807.2 Drill Down to Account Balances<strong>Spreadsheet</strong> <strong>Server</strong> allows drilling down from an amount on the spreadsheet to see what account balancesmake up the value. The Account Balances drill down can exclude zero balance accounts based upon anoption in the <strong>use</strong>r settings.1. Select a cell containing a GXA <strong>for</strong>mula and right click. A popup menu appears.2. On the popup menu, select SS Drill Down. The Drilldown - Account Balances panel appears showing thebalance <strong>for</strong> each individual account. The grid will also show any category codes (business unit oraccounts) that were <strong>use</strong>d <strong>with</strong>in the GXA <strong>for</strong>mula.Nav Tip:Steps 1 and 2 may be replaced by selecting a cell and selecting the SS ribbon equivalent (seeSS Ribbon).Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


81<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M97.3 Drill Down to Account Balances - Summarized<strong>Spreadsheet</strong> <strong>Server</strong> allows drilling down from an amount on the spreadsheet to see what account balancesmake up the value. Summary drill down functionality allows the <strong>use</strong>r to select which account segments to <strong>use</strong><strong>for</strong> grouping or summarizing the accounts when displaying the account balances which make up the value.The Account Balances drill down can exclude zero balance accounts based upon an option in the <strong>use</strong>rsettings.1. Select a cell containing a GXA <strong>for</strong>mula and right click. A popup menu appears.2. On the popup menu, select SS Drill Down - Summary. The Summarize Balances panel appears.3. On the Summarize Balances panel, select the account segments to be <strong>use</strong>d <strong>for</strong> summarizing.4. Click OK. The Drilldown - Account Balances panel appears showing the balance <strong>for</strong> each detail accountsummarized by company, business unit, object account, and/or subsidiary based upon account segmentsselected on the previous panel. The grid will also display any category codes (business unit or accounts)that were <strong>use</strong>d <strong>with</strong>in the GXA <strong>for</strong>mula.Example: SS Drill Down. Notice that the balances displayed also include subledgers.


Drill Down Functionality 82Example: SS Drill Down - Summary. Notice that the balances have been summarized by the selectedaccount segment(s).Note: The Drill Down to Journals per Account(s) option will only function if all account segments were selected<strong>for</strong> summarization. When drilling down to journals, the system displays all journals <strong>for</strong> the selectedaccount, including journals at the subledger level.Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


83<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M97.4 Drill Down to Multiple Column Account Balances<strong>Spreadsheet</strong> <strong>Server</strong> allows drilling down from multiple cells on the same row on the spreadsheet to see whataccount balances make up the values. A maximum of 12 columns may be selected. The Multi-ColumnDrilldown Balances drill down can exclude zero balance accounts based upon an option in the <strong>use</strong>r settings.1. Select multiple cells on the same row containing GXA <strong>for</strong>mulas and right click. A popup menu appears.2. On the popup menu, select SS Drill Down. The Drilldown - Multi-Column Drilldown Balances panelappears showing detail account balances <strong>for</strong> each column. If only two columns were selected, a variancecolumn will automatically be displayed.Nav Tip:Steps 1 and 2 may be replaced by selecting multiple cells on the same row and selecting the SSribbon equivalent (see SS Ribbon).Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.


Drill Down Functionality 847.5 Drill Down to Journals per Selected Account(s)<strong>Spreadsheet</strong> <strong>Server</strong> allows drilling down from detail account balances to the journals which make up theaccount balances.1. From the Drilldown - Account Balances panel, select the desired account(s):· To select a single account -- double click the account. The Account Journals tab appears displayingjournals <strong>for</strong> the selected account.· To select multiple accounts -- press and hold the Ctrl key as accounts are selected on the grid rows.Right click on the grid. A popup menu appears. From the popup menu select Drilldown Journals <strong>for</strong>Selected Accounts. The Account Journals tab appears displaying journals <strong>for</strong> the selected accounts.· To select multiple accounts in a range -- select the first account in the range, press and hold the Shiftkey, and select the last account in the range. Right click on the grid. A popup menu appears. From thepopup menu select Drilldown Journals <strong>for</strong> Selected Accounts. The Account Journals tab appearsdisplaying journals <strong>for</strong> the selected accounts.· To select all accounts in the grid -- right click on the grid. A popup menu appears. From the popupmenu select Drilldown Journals <strong>for</strong> All Accounts. The Account Journals tab appears displaying journals<strong>for</strong> all accounts.Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


85<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M97.6 Drill Down to Journal Entry Lines<strong>Spreadsheet</strong> <strong>Server</strong> allows drilling down from journals to the journal entry lines which make up the journal.The system displays all entry lines <strong>for</strong> all journals in the associated batch.Note: User settings in the Configurator control a <strong>use</strong>r's authority to this function.1. From the Drilldown - Account Journals panel, select the desired journal (batch) and right click. A popupmenu appears.2. On the popup menu, select Display All Lines in the Batch <strong>for</strong> the Selected Grid Row. The Batch tabappears displaying all the entry lines <strong>for</strong> the journals in the selected batch.Nav Tip:Steps 1 and 2 may be replaced by double clicking the selected journal.Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.


Drill Down Functionality 867.7 Drill Down to Subsystem Detail<strong>Spreadsheet</strong> <strong>Server</strong> allows drilling down from journals to the subsystem detail from which the journaloriginated. Subsystem drill down is controlled by the batch type code. Valid batch type codes <strong>for</strong> eachsubsystem are defined in the Settings function (see User Settings). Currently subsystem drill down isavailable <strong>for</strong> Accounts Payable, Accounts Receivable, and Inventory applications.1. From the Drilldown - Account Journals panel, select the desired journal(s):· To select a single journal -- select the journal and right click on the grid. A popup menu appears.· To select multiple journals -- press and hold the Ctrl key as journals are selected on the grid rows.Right click on the grid. A popup menu appears.· To select multiple journals in a range -- select the first journal in the range, press and hold the Shift key,and select the last journal in the range. Right click on the grid. A popup menu appears.· To select all journals in the grid -- right click on the grid. A popup menu appears.2. On the popup menu, select the appropriate view function to indicate whether to view subsystem detail <strong>for</strong>only selected journals or <strong>for</strong> all journals. The appropriate subsystem panel(s) appears.Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


87<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M97.8 Drill Down to Sales DetailOnce GXSALES <strong>for</strong>mulas are constructed, drill down capability to the sales detail related to the amount,quantity or weight exists.1. Select a cell containing a GXSALES <strong>for</strong>mula and right click. A popup menu appears.2. On the popup menu, select SS Drill Down. The Drilldown - Sales Detail panel appears showing theindividual sales detail from the F4211, F4101 and F0101 files.Nav Tip:Steps 1 and 2 may be replaced by selecting a cell and selecting the SS ribbon equivalent (seeSS Ribbon).Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.


Drill Down Functionality 887.9 Drill Down to Fixed Asset DetailOnce FXA <strong>for</strong>mulas are constructed, drill down capability to the Asset Detail related to the balances exists.1. Select the cell containing the FXA <strong>for</strong>mula to analyze and right click. A popup menu appears.2. From the popup menu, select SS Drill Down. The Drilldown - Fixed Assets Balances panel appearsshowing the individual asset detail from the F1201 and F1202 files.Nav Tip:Steps 1 and 2 may be replaced by selecting a cell and selecting the SS ribbon equivalent (seeSS Ribbon).Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


89<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M98 Review Account Master8.1 List Accounts<strong>Spreadsheet</strong> <strong>Server</strong> enables the <strong>use</strong>r to generate a list of existing accounts. Filtering is available to controlwhich accounts are listed.1. In Excel from the S<strong>Server</strong> menu, select Display Accounts -or- select the SS toolbar equivalent (seeSS Toolbar). The Display Chart of Accounts panel appears.2. On the Display Chart of Accounts panel, specify the account number criteria and configuration host, andclick the View button. The appropriate accounts are displayed on the panel. The account numbersegment values may be a single value, mask, range, value list or segment list.


Review Account Master 908.2 Copy/Export Accounts from Account List<strong>Spreadsheet</strong> <strong>Server</strong> allows copying accounts from the Display Chart of Accounts panel to an Excelspreadsheet or to the Windows clipboard.1. From the Display Chart of Accounts panel, select the desired account(s):· To copy/export a single account -- select the desired account and right click. A popup menu appears.· To copy/export select multiple accounts -- press and hold the Ctrl key as accounts are selected on thegrid rows. Right click on the grid. A popup menu appears.· To copy/export multiple accounts in a range -- select the first account in the range, press and hold theShift key, and select the last account in the range. Right click on the grid. A popup menu appears.· To copy/export all accounts in the grid -- right click on the grid. A popup menu appears.2. On the popup menu, select the appropriate export / copy function to indicate whether to export / copy onlyselected accounts or all accounts. The Export / Copy Accounts Options panel appears.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


91<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M93. Use the table to enter data on the Export / Copy Account Options panel.FieldColumns to be GeneratedExcel Specifications:Target WorksheetStarting CellCategory Codes:<strong>Inc</strong>lude Category CodesBusiness Unit /Object AccountDescriptionSelect the appropriate check box(es) to indicate which segments are tobe included in the export or copy.From the drop down list, select an existing worksheet to which to sendthe export data. Otherwise, key a new name and the system will createthe new worksheet when exporting the data.Specify the starting cell into which to place the data.Select the check box to indicate to include category codes in the exportor copy.Select the appropriate check box(es) to indicate which business unitand/or object account category codes to include in the export or copy.4. Click the Export to Excel button to export the accounts to the target worksheet. Otherwise, to copy theaccounts to the Windows clipboard, click the Copy to Clipboard button.


Review Account Master 928.3 View Account Balances<strong>Spreadsheet</strong> <strong>Server</strong> enables the <strong>use</strong>r to view account balances and subsequently drill down to the journalsand journal entry lines <strong>for</strong> any or all of the listed accounts. Selection criteria is available to control whichaccounts are listed.1. In Excel from the S<strong>Server</strong> menu, select View Account Balances. The Drilldown - View Account Balancespanel appears.Note: If View Account Balances was launched while on a GXA or GXAB <strong>for</strong>mula, selection criteriadefaults from the <strong>for</strong>mula and the appropriate accounts and their balances are displayed.Nav Tip:This panel may also be accessed by selecting the SS toolbar or ribbon equivalent (seeSS Toolbar or SS Ribbon).2. On the View Account Balances panel, specify the various account balance criteria (i.e. account segments,ledger type, year, currency, business unit status, configuration host) <strong>for</strong> which to display accounts. Whenentering account selection criteria, ranges, segment lists, and/or wildcards may be <strong>use</strong>d. In addition, clickthe Weekly Balances check box to display weekly balances instead of period balances.Note: Double click on the CO header (not in the field) to mask each segment.3. Click the View button. The appropriate accounts and balances are displayed on the View AccountBalances panel.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


93<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M94. To drill down to the journals <strong>for</strong> a specific account/period, on the View Account Balances panel doubleclick in the grid cell <strong>for</strong> the desired account/period balance. An Account Journals tab appears displayingall journals <strong>for</strong> the selected account/period.5. To drill down to the journal entry lines <strong>for</strong> a specific journal, on the Account Journals panel select thedesired journal and double click. A Batch tab appears displaying all the entry lines <strong>for</strong> the journals in theselected batch.


Review Account Master 94Note: Refer to General Grid Features <strong>for</strong> features available <strong>with</strong>in drill down grids.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


95<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99 Miscellaneous Features9.1 Data Validation<strong>Spreadsheet</strong> <strong>Server</strong> gives the <strong>use</strong>r the ability to create a validation list in a specific cell in Excel. Validationlists are drop down lists that allow the <strong>use</strong>r to choose from a valid list of options/field values.1. Select a cell to hold the validation list.2. In Excel from the S<strong>Server</strong> menu, select Data Validation Wizard -or- select the SS ribbon equivalent (seeSS Ribbon). The Data Validation panel appears.3. Select the type of data <strong>for</strong> which to build a list or enter valid values separated by a comma in theValidation List field, and click OK to push validation to the current cell.Note: Validation Lists are limited by Excel to 255 characters.4. On the Excel worksheet when the appropriate cell is selected, a drop down button appears indicating thatvalid values exist <strong>for</strong> the cell. Click on the drop down arrow button to display the Validation List.5. Click on the desired value. The system returns the selected value to the appropriate cell.6. To maintain valid values <strong>for</strong> a cell, select the cell and from the Excel menu, select Data>Validation -orfromthe Ribbon select Data>Data Tools>Data Validation. The Data Validation panel appears. Refer toExcel Help <strong>for</strong> additional instructions.


Miscellaneous Features 969.2 Generate Account Detail <strong>for</strong> Current SheetThe Generate Account Detail option allows the <strong>use</strong>r to create an audit trail which lists the individual accountsand balances included in the GXA (GXAB) <strong>for</strong>mulas of the worksheet.1. In Excel from the S<strong>Server</strong> menu, select Generate Account Detail from Current Sheet -or- select the SSribbon equivalent (see SS Ribbon). The Generate Account Detail Options panel appears.2. On the Generate Account Detail Options panel, specify the following processing criteria:· Source Worksheet Input - COLUMN - Identify the column <strong>with</strong>in the worksheet that contains the reportline description. This description is <strong>use</strong>d as the first column in the extracted audit trail.· Source Worksheet Input - ROW - Identify the first row containing a GXA (or GXAB) <strong>for</strong>mula to be <strong>use</strong>din generating the detail. This will set the starting point <strong>for</strong> the extracted audit trail.· Summarize Accounts - Select the check box to indicate to summarize data at the object account level(ignores the subledger type and subledger name values).· Excel Specifications - When exporting to Excel, specify the name of the target worksheet (new orexisting) and a starting cell into which to place the data.3. Click the Export to Excel button to generate an audit trail showing the line description and all includedaccounts and their balances in Excel (see below). Otherwise, to copy the audit trail in<strong>for</strong>mation to theWindows clipboard, click the Copy to Clipboard button.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


97<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99.3 GXE - Expand Detail Reports - Account DetailsThe Expand Detail option allows the <strong>use</strong>r to select a single or multiple financial statement lines using<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mulas and expand the line(s) into the individual account details. This process issimilar to the Generate Account Detail option but <strong>use</strong>s a single line to expand into a designated workbooklocation.This process is primarily <strong>use</strong>d to launch detailed financial statements into the same template. This option canbe <strong>use</strong>d <strong>for</strong> multiple departments to ensure consistency <strong>for</strong> each report. Instead of creating each possibleaccount number as different rows in the spreadsheet, a single line can be created that contains ranges,segment lists, or wildcards. This line will then be expanded into the applicable individual accounts and placedinto a <strong>for</strong>matted worksheet.


Miscellaneous Features 989.3.1 Expand a Single Source Line1. Create a standard <strong>Spreadsheet</strong> <strong>Server</strong> report using the GXA <strong>for</strong>mula. The single report line becomes thebasis <strong>for</strong> the expanded report. When the process is executed the single line will be expanded intoindividual account lines and placed into the final <strong>for</strong>matted worksheet (see below).The example below shows a departmental report based on an individual business unit.· GXA <strong>for</strong>mulas are created in a single line. In the example, account string parameters are shown in cellsA1:A4, GXA balance parameters (ledger type, year, <strong>for</strong>mat, period, currency) are in cells A6:K10, andthe actual GXA <strong>for</strong>mulas are contained in cells A14, B14, J14, and K14.· Standard Excel <strong>for</strong>mulas are <strong>use</strong>d to calculate the budget variances in cells C14 and L14.· Various literals are entered into cells D14:I16. This designation will generate the associated value intothat particular column. Valid literals are ACCTNUM (account number), ACCTDESC (accountdescription), ACCTCO (company), ACCTBU (business unit), ACCTOBJ (object account), ACCTSUB(sub-account), ACCTSBLT (subledger type), and ACCTSBL (subledger name).2. Create/label a cell called Target Sheet. In the example, this is cell B16 and it has been identified asworksheet GXE Target. This cell identifies the name of the worksheet that contains the final <strong>for</strong>mattedworksheet and will receive the expanded detail.3. Create/label a cell called Source Sheet. In the example, this is cell B17 and it has been identified asworksheet GXE Source. This cell identifies the worksheet that contains the GXA <strong>for</strong>mulas that will beexpanded. In this example, the same worksheet contains both the source and the GXE parameters.4. Create/label a cell called Target Row. In the example, this is cell B18 and it has been identified as row 5.This cell identifies either the first row or range name <strong>with</strong>in the target worksheet to begin inserting theexpanded account detail.Note: When using a target range, identify the Excel range as all cells under the column headers. In theexample, the range would be <strong>for</strong> cells A5 thru L5. The range name would then be entered in cellB18.5. Create/label a cell called Source Row. In the example, this is cell B19 and it has been identified as row14. This cell identifies the row number in the source worksheet that contains the GXA <strong>for</strong>mulas.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


99<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M96. Create/label a cell called Summarize Accts. In the example, this is cell B20. This cell will either contain Y(Yes) or N (No) to summarize by account.7. Create a GXE <strong>for</strong>mula <strong>with</strong> the following parameters:· Target Sheet (B16)· Source Sheet (B17)· Target Row (B18)· Source Row (B19)· Summarize Accts (B20)Formula Example:=GXE(B16,B17,B18,B19,B20)8. Format the Target Worksheet <strong>with</strong> headings in rows 1-3, blank rows in rows 4-6, and totals in row 7.Each total was set to a range of rows 4-6 (i.e. =SUM(A4:A6)). When the Expand Detail Reports functionis initiated, the total line is shifted down or up, based upon the number of data rows populated each timethe expansion is processed.9. To generate detail reports <strong>for</strong> all GXE (and GXECC) <strong>for</strong>mulas in the workbook, in Excel from the S<strong>Server</strong>menu select Expand All Detail Reports -or- select the SS toolbar or ribbon equivalent (see SS Toolbar orSS Ribbon). The results <strong>for</strong> all GXE (and GXECC) <strong>for</strong>mulas are expanded into the appropriate <strong>for</strong>mattedsheets.


Miscellaneous Features 1009.3.2 Expand Multiple Source Lines Using Ranges1. Create a standard <strong>Spreadsheet</strong> <strong>Server</strong> report using the GXA <strong>for</strong>mula. The multiple report lines becomethe basis <strong>for</strong> the expanded report. When the process is executed the lines will be expanded intoindividual account lines and placed into the final <strong>for</strong>matted worksheet (see below).The example below shows a departmental report based on individual business units.· GXA <strong>for</strong>mulas are created on multiple lines. In the example, account string parameters are shown incells B1:D4, GXA balance parameters (ledger type, year, <strong>for</strong>mat, period, currency) are in cells A6:K10,and the actual GXA <strong>for</strong>mulas are contained in cells A14, A15, A16, B14, B15, B16, J14, J15, J16, K14,K15 and K16.· Standard Excel <strong>for</strong>mulas are <strong>use</strong>d to calculate the budget variances in cells C14, C15, C16, L14, L15and L16.· Various literals are entered into cells D14:I16. This designation will generate the associated value intothat particular column. Valid literals are ACCTNUM (account number), ACCTDESC (accountdescription), ACCTCO (company), ACCTBU (business unit), ACCTOBJ (object account), ACCTSUB(sub-account), ACCTSBLT (subledger type), and ACCTSBL (subledger name).2. Create/label a cell called Target Sheet. In the example, this is cell B18 and it has been identified asworksheet GXE Target. This cell identifies the name of the worksheet that contains the final <strong>for</strong>mattedworksheet and will receive the expanded detail.3. Create/label a cell called Source Sheet. In the example, this is cell B19 and it has been identified asworksheet GXE Source. This cell identifies the worksheet that contains the GXA <strong>for</strong>mulas that will beexpanded. In this example, the same worksheet contains both the source and the GXE parameters.4. Create/label a cell called Target Row. In the example, these are cells B20, C20 and D20 and they havebeen identified as ranges Range61, Range62 and Range63. This cell identifies either the first row orrange name <strong>with</strong>in the target worksheet to begin inserting the expanded account detail.Note: When using a target range, identify the Excel range as all cells under the column headers. In theexample, Range61 is <strong>for</strong> cells A5 thru L5, Range62 is <strong>for</strong> cells A12 thru L12, and Range63 is <strong>for</strong>cells A19 thru L19. The appropriate range name is then entered in cells B20, C20 and D20.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


101<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95. Create/label a cell called Source Row. In the example, these are cells B21, C21 and D21 and they havebeen identified as row 14, row 15 and row 16. This cell identifies the row number in the source worksheetthat contains the GXA <strong>for</strong>mulas.6. Create/label a cell called Summarize Accts. In the example, this is cell B22. This cell will either contain Y(Yes) or N (No) to summarize by account.7. Create the GXE <strong>for</strong>mulas <strong>with</strong> the following parameters:· Target Sheet (B18)· Source Sheet (B19)· Target Row (B20, C20 or D20)· Source Row (B21, C21 or D21)· Summarize Accts (B22)Formula Examples:=GXE(B18,B19,B20,B21,B22)=GXE(B18,B19,C20,C21,B22)=GXE(B18,B19,D20,D21,B22)8. Format the Target Worksheet <strong>with</strong> headings in rows 1-3, 10 and 17, blank rows in rows 4-6, 11-13 and18-20, and totals in rows 7, 14 and 21. Each total was set to a range of rows 4-6, 11-13 or 18-20 (i.e. cellA7 is =SUM(A4:A6)). When the Expand Detail Reports function is initiated, the total line is shifted down orup, based upon the number of data rows populated each time the expansion is processed.9. To generate detail reports <strong>for</strong> all GXE (and GXECC) <strong>for</strong>mulas in the workbook, in Excel from the S<strong>Server</strong>menu select Expand All Detail Reports -or- select the SS toolbar or ribbon equivalent (see SS Toolbar orSS Ribbon). The results <strong>for</strong> all GXE (and GXECC) <strong>for</strong>mulas are expanded into the appropriate <strong>for</strong>mattedsheets.


<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.Miscellaneous Features 102


103<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99.4 GXE - Expand Detail Reports - Journal Entry DetailsThe Expand Detail option allows the <strong>use</strong>r to create a detail journal voucher listing <strong>for</strong> a specific summarybalance of accounts using the GXE <strong>for</strong>mula. Subtotals are included at the company, business unit, account andsub-account levels. The process works similarly to the Expand Detail option <strong>for</strong> account detail, but <strong>use</strong>sadditional parameters.1. Create a standard <strong>Spreadsheet</strong> <strong>Server</strong> report using the GXA <strong>for</strong>mula. The single report line becomes thebasis <strong>for</strong> the expanded report. When the process is executed the single line will be expanded into individualjournal entry lines and placed into the final <strong>for</strong>matted worksheet (see below).The example below shows a departmental report based on an individual business unit.· Standard GXA <strong>for</strong>mulas are created in a single line. In the example, account string parameters areshown in cells A1:A4, GXA balance parameters (ledger type, year, <strong>for</strong>mat, period, currency) are in cellsA6:K10, and the actual GXA <strong>for</strong>mulas are contained in cells A14, B14, J14 and K14.· Standard Excel <strong>for</strong>mulas are <strong>use</strong>d to calculate the budget variances in cells C14 and L14.· Various literals are entered into cells D14:I14. This designation will generate the associated value intothat particular column. Valid literals are ACCTNUM (account number), ACCTDESC (account description),ACCTCO (company), ACCTBU (business unit), ACCTOBJ (object account), and ACCTSUB (subaccount),ACCTSBLT (subledger type), and ACCTSBL (subledger name).2. Create/label cells <strong>for</strong> Target Sheet, Source Sheet, Target Row, Source Row, and Summarize Accts. Referto Expand a Single Source Line or Expand Multiple Source Lines Using Ranges <strong>for</strong> more in<strong>for</strong>mation.3. Create/label a cell called JE GXA Column. In the example, this is cell E16 and it has been identified ascolumn A. This cell identifies the column containing the GXA balance to be expanded to show journaldetails.4. Create/label a cell called JE Target Sheet. In the example, this is cell E17 and it has been identified asworksheet JE Detail BU 61. This cell identifies the name of the worksheet that will received the journal entrydetail.


Miscellaneous Features 1045. Create/label a cell called JE Target Cell. In the example, this is cell E18 and it has been identified as cellA1. This cell identifies the starting cell location <strong>with</strong>in the target worksheet to begin inserting the expandedjournal entry detail.6. Create/label a cell called JE <strong>Inc</strong>lude Headings. In the example, this is cell E19. This cell will either containY (Yes) or N (No) to include headings in the journal entry detail expansion.7. Create/label a cell called JE Autofit Columns. In the example, this is cell E20. This cell <strong>with</strong> either contain Y(Yes) or N (No) to initiate the auto-fit columns function <strong>with</strong>in Excel.8. Create/label a cell called JE Generate Totals. In the example, this is cell E21. This cell will either contain Y(Yes) or N (No) to generate account subtotals and a grand total.9. Create/label a cell called JE Convert to Table. In the example, this is cell E22. This cell will either contain Y(Yes) or N (No) to expand the journal entry detail into a table. When Y is entered, the system creates a newtable on the specified target sheet and assigns the next available standard Excel table name. In addition,headings are always included and a grand total line is generated; however, no account subtotals aregenerated.10. Create a GXE <strong>for</strong>mula <strong>with</strong> the following parameters:· Target Sheet (B16)· Source Sheet (B17)· Target Row (B18)· Source Row (B19)· Summarize Accts (B20)· JE GXA Column (E16)· JE Target Sheet (E17)· JE Target Cell (E18)· JE <strong>Inc</strong>lude Headings (E19)· JE Autofit Columns (E20)· JE Generate Totals (E21)· JE Convert to Table (E22)Formula Example:=GXE(B16,B17,B18,B19,B20,E16,E17,E18,E19,E20,E21,E22)11. To generate detail reports <strong>for</strong> all GXE (and GXECC) <strong>for</strong>mulas in the workbook, in Excel from the S<strong>Server</strong>menu select Expand All Detail Reports -or- select the SS toolbar or ribbon equivalent (see SS Toolbar orSS Ribbon). The results <strong>for</strong> all GXE (and GXECC) <strong>for</strong>mulas are expanded into the appropriate <strong>for</strong>mattedsheets.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


105<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99.5 GXECC - Expand Detail Reports by Category Code - AccountDetailsThe Expand Detail by Category Code option allows the <strong>use</strong>r to select a single or multiple financial statementlines using <strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mulas and expand the line(s) grouped by either a business unit categorycode or an object account category code. This process is primarily <strong>use</strong>d to launch detailed financialstatements into the same template. This option can be <strong>use</strong>d <strong>for</strong> multiple departments to ensure consistency<strong>for</strong> each report. Instead of creating each possible account number as different rows in the spreadsheet, asingle line can be created that contains ranges, segment lists, or wildcards. This line will then be expandedinto the applicable individual accounts and placed into a <strong>for</strong>matted worksheet.Note: The instructions below reference how to expand a single source line <strong>for</strong> a GXECC. Refer toExpand Multiple Source Lines Using Ranges <strong>for</strong> basic steps required to expand multiple source lines.1. Create a standard <strong>Spreadsheet</strong> <strong>Server</strong> report using the GXA <strong>for</strong>mula. The single report line becomes thebasis <strong>for</strong> the expanded report. When the process is executed the single line will be expanded intoindividual account lines and placed into the final <strong>for</strong>matted worksheet (see below).The example below shows a departmental report based on an individual business unit.· GXA <strong>for</strong>mulas are created in a single line. In the example, account string parameters are shown in cellsA1:A4, GXA balance parameters (ledger type, year, <strong>for</strong>mat, period, currency) are in cells A6:G10, andthe actual GXA <strong>for</strong>mulas are contained in cells A14, B14, F14, and G14.· Standard Excel <strong>for</strong>mulas are <strong>use</strong>d to calculate the budget variances in cells C14 and H14.· Various literals are entered into cells D14 and E14. This designation will generate the associated valueinto that particular column. Valid literals are CATCODE (category code) and CATDESC (categorydescription).2. Create/label a cell called Target Sheet. In the example, this is cell B16 and it has been identified asworksheet GXECC Target. This cell identifies the name of the worksheet that contains the final <strong>for</strong>mattedworksheet and will receive the expanded detail.3. Create/label a cell called Source Sheet. In the example, this is cell B17 and it has been identified asworksheet GXECC Source. This cell identifies the worksheet that contains the GXA <strong>for</strong>mulas that will beexpanded. In this example, the same worksheet contains both the source and the GXECC parameters.


Miscellaneous Features 1064. Create/label a cell called Target Row. In the example, this is cell B18 and it has been identified as row 5.This cell identifies the first row or range name <strong>with</strong>in the target worksheet to begin inserting the expandeddetail.Note: When using a target range, identify the Excel range as all cells under the column headers. In theexample, the range would be <strong>for</strong> cells A5 thru L5. The range name would then be entered in cellB18.5. Create/label a cell called Source Row. In the example, this is cell B19 and it has been identified as row14. This cell identifies the row number in the source worksheet that contains the GXA <strong>for</strong>mulas.6. Create/label a cell called Category Code. In the example, this is cell B20 and it has been identified asA21. This cell identifies the category code that will be expanded. Valid values are B01-B30 <strong>for</strong> thebusiness unit category codes and A01-A23 <strong>for</strong> the account category codes.7. Create a GXECC <strong>for</strong>mula <strong>with</strong> the following parameters:· Target Sheet (B16)· Source Sheet (B17)· Target Row (B18)· Source Row (B19)· Category Code (B20)Formula Example:=GXECC(B16,B17,B18,B19,B20)8. Format the Target Worksheet <strong>with</strong> headings in rows 1-3, blank rows in rows 4-6, and totals in row 7.Each total was set to a range of rows 4-6 (i.e. =SUM(A4:A6)). When the Expand Detail Reports functionis initiated, the total row is shifted down or up, based upon the number of data rows populated when theexpansion is processed.9. To generate detail reports <strong>for</strong> all GXECC (and GXE) <strong>for</strong>mulas in the workbook, in Excel from the S<strong>Server</strong>menu select Expand All Detail Reports -or- select the SS toolbar or ribbon equivalent (see SS Toolbar orSS Ribbon). The results <strong>for</strong> all GXECC (and GXE) <strong>for</strong>mulas are expanded into the appropriate <strong>for</strong>mattedsheets.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


107<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99.6 GXECC - Expand Detail Reports by Category Code - Journal EntryDetailsThe Expand Detail option allows the <strong>use</strong>r to create a detail journal voucher listing grouped by either abusiness unit or object account category code <strong>for</strong> a specific summary balance of accounts using the GXE<strong>for</strong>mula. Subtotals are included at the account and category code levels. The process works similarly to theExpand Detail by Category Code option <strong>for</strong> account detail, but <strong>use</strong>s additional parameters.1. Create a standard <strong>Spreadsheet</strong> <strong>Server</strong> report using the GXA <strong>for</strong>mula. The single report line becomes thebasis <strong>for</strong> the expanded report. When the process is executed the single line will be expanded intoindividual journal entry lines and placed into the final <strong>for</strong>matted worksheet (see below).The example below shows a departmental report based on an individual business unit.· Standard GXA <strong>for</strong>mulas are created in a single line. In the example, account string parameters areshown in cells A1:A4, GXA balance parameters (ledger type, year, <strong>for</strong>mat, period, currency) are in cellsA6:G10, and the actual GXA <strong>for</strong>mulas are contained in cells A14, B14, F14, and G14.· Standard Excel <strong>for</strong>mulas are <strong>use</strong>d to calculate the budget variances in cells C14 and H14.· Various literals are entered into cells D14 and E14. This designation will generate the associated valueinto that particular column. Valid literals are CATCODE (category code) and CATDESC (categorydescription).2. Create/label cells <strong>for</strong> Target Sheet, Source Sheet, Target Row, Source Row, and Category Code. Referto GXECC - Expand Detail Reports by Category Code - Account Details <strong>for</strong> more in<strong>for</strong>mation.3. Create/label a cell called JE GXA Column. In the example, this is cell E16 and it has been identified ascolumn A. This cell identifies the column containing the GXA balance to be expanded to show journaldetails.4. Create/label a cell called JE Target Sheet. In the example, this is cell E17 and it has been identified asworksheet JE Detail by CC. This cell identifies the name of the worksheet that will received the journalentry detail.


Miscellaneous Features 1085. Create/label a cell called JE Target Cell. In the example, this is cell E18 and it has been identified as cellA1. This cell identifies the starting cell location <strong>with</strong>in the target worksheet to begin inserting theexpanded journal entry detail.6. Create/label a cell called JE <strong>Inc</strong>lude Headings. In the example, this is cell E19. This cell will eithercontain Y (Yes) or N (No) to include headings in the journal entry detail expansion.7. Create/label a cell called JE Autofit Columns. In the example, this is cell E20. This cell <strong>with</strong> eithercontain Y (Yes) or N (No) to initiate the auto-fit columns function <strong>with</strong>in Excel.8. Create/label a cell called JE Generate Totals. In the example, this is cell E21. This cell will either containY (Yes) or N (No) to generate account subtotals and a grand total.9. Create/label a cell called JE Convert to Table. In the example, this is cell E22. This cell will either containY (Yes) or N (No) to expand the journal entry detail into a table. When Y is entered, the system creates anew table on the specified target sheet and assigns the next available standard Excel table name. Inaddition, headings are always included and a grand total line is generated; however, no account subtotalsare generated.10. Create a GXE <strong>for</strong>mula <strong>with</strong> the following parameters:· Target Sheet (B16)· Source Sheet (B17)· Target Row (B18)· Source Row (B19)· Category Code (B20)· JE GXA Column (E16)· JE Target Sheet (E17)· JE Target Cell (E18)· JE <strong>Inc</strong>lude Headings (E19)· JE Autofit Columns (E20)· JE Generate Totals (E21)· JE Convert to Table (E22)Formula Example:=GXE(B16,B17,B18,B19,B20,E16,E17,E18,E19,E20,E21,E22)11. To generate detail reports <strong>for</strong> all GXECC (and GXE) <strong>for</strong>mulas in the workbook, in Excel from the S<strong>Server</strong>menu select Expand All Detail Reports -or- select the SS toolbar or ribbon equivalent (see SS Toolbar orSS Ribbon). The results <strong>for</strong> all GXECC (and GXE) <strong>for</strong>mulas are expanded into the appropriate <strong>for</strong>mattedsheets.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


109<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99.7 Hide Rows <strong>with</strong> Zero BalancesThe Hide Rows <strong>with</strong> Zero Balances function will analyze the active workbook and per<strong>for</strong>m a row hide function<strong>for</strong> any spreadsheet row that contains <strong>for</strong>mulas in which the net result is zero <strong>for</strong> all cells. This function is veryeffective <strong>for</strong> standardized reporting templates such as departmental reports. Multiple rows can be created asa template but the function can then hide non-<strong>use</strong>d or zero rows.To Hide Rows <strong>with</strong> Zero Balances:1. In Excel from the S<strong>Server</strong> menu, select Hide Rows <strong>with</strong> Zero Balances -or- select the SS ribbonequivalent (see SS Ribbon).To Restore Hidden Rows:1. In Excel from the S<strong>Server</strong> menu, select Restore Hidden Rows -or- select the SS ribbon equivalent (seeSS Ribbon).


Miscellaneous Features 1109.8 Disable / Enable <strong>Spreadsheet</strong> <strong>Server</strong> Formula CalculationsDisabling calculations will effectively halt GXA (GXAB) and GXD <strong>for</strong>mula calculations when Excel calculatesspreadsheets. As a result of disabling calculations, GXA <strong>for</strong>mulas will return zero values and GXD <strong>for</strong>mulaswill return blanks.Disabling <strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mula calculations can be extremely <strong>use</strong>ful when:· Discontinuing calculation of a complex or long-running spreadsheet. Press Shift+Ctrl+Z to quickly disable<strong>for</strong>mula calculations.· A workbook is inadvertently opened whose calculation option is set to automatic. Press Shift+Ctrl+Z toquickly disable <strong>for</strong>mula calculations.· Creating a new worksheet or modifying an existing worksheet by adding columns and/or rows <strong>with</strong><strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong>mulas, and switching a <strong>for</strong>mat to/from the range type period. In Excel from theS<strong>Server</strong> menu, select Disable <strong>Spreadsheet</strong> <strong>Server</strong> Formula Calculations.Enabling Formula Calculations:1. In Excel from the S<strong>Server</strong> menu, select Enable <strong>Spreadsheet</strong> <strong>Server</strong> Formula Calculations. The Enable<strong>Spreadsheet</strong> <strong>Server</strong> Formula Calculations panel appears.2. Click the Yes button to clear the PC Cache and recalculate the spreadsheet.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


111<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M99.9 Reset Host <strong>Server</strong> Connection<strong>Spreadsheet</strong> <strong>Server</strong> allows the <strong>use</strong>r to sign onto the system using a different ID or to switch between workingin live or local mode <strong>with</strong>out having to close and restart Excel.Note: When Unattended Sign-On is activated, the Reset Host <strong>Server</strong> Connection function is not available.1. In Excel from the S<strong>Server</strong> menu, select Reset Host <strong>Server</strong> Connection. The Sign On to <strong>Spreadsheet</strong><strong>Server</strong> <strong>for</strong> <strong>JD</strong>E dialog box appears.2. On the Sign On dialog box identify the following in<strong>for</strong>mation:· User ID (SS signon)· Password (optional SS password assigned in the Configurator)· Retrieve Account Balances (local database)· Work in Local Mode <strong>with</strong>out a ConnectionNote: When working <strong>with</strong>out a connection, the <strong>use</strong>r only has access to account balances in the localdatabase file, and as a result drill-downs to journals or list accounts will not be functional. Inaddition, the system continues to verify the <strong>use</strong>r is a valid SS <strong>use</strong>r, thus the <strong>use</strong>r must have theConfigurator on their hard drive.3. Click OK.


Miscellaneous Features 1129.10 View Log EntriesDuring all processing, the system records various logging in<strong>for</strong>mation. If the Settings option EnhancedLogging is selected, then the system records additional error message logging data. Log entries may beviewed, copied and/or emailed if desired.1. In Excel from the S<strong>Server</strong> menu, select Settings. The General Settings panel appears.Nav Tip:This panel may also be accessed by selecting the Settings tab on the Control Panel -or- byselecting the SS toolbar or ribbon equivalent (see SS Toolbar or SS Ribbon).2. On the General Settings panel, click the View Log button. The Log Viewer panel appears displaying thelevel, date, time and description <strong>for</strong> each log entry. In addition, in the bottom right hand corner the paneldisplays a count of the number of entries listed.Nav Tip:When the Enhanced Logging option is selected on the Settings panel, then this panel may alsobe accessed by selecting the SS ribbon equivalent (see SS Ribbon).Note: To select a different size font, click on the drop down arrow in the bottom right hand corner.3. To copy selected records to the clipboard, on the Log Viewer panel first select the desired record(s) andthen either click the Copy Selected Errors button -or- right click on the list and select Copy SelectedErrors on the popup panel:· To copy a single record -- select the desired record.· To copy select multiple records -- press and hold the Ctrl key as records are selected in the list.· To copy multiple records in a range -- select the first record in the range, press and hold the Shift key,and select the last record in the range.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


113<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M94. To email the entire log file to the helpdesk, click the Email Error Log button. The system opens a newOutlook ® email panel <strong>with</strong> the log file attached. Modify the email address and/or text of the email body asnecessary and click the Send button.5. To filter the entries in the log file, select the desired message type(s), date/time range, containing text,class and/or method in the Filter section. The system displays only entries matching the selection criteria.Click the Clear Filter button to reset all filter fields to their default value.6. To search <strong>for</strong> a specific value in the log file, key the desired value in the Find What field and click the FindNext button. The system will highlight the first log entry containing the value. Click the Find Next buttonagain, to find the next occurrence of the selected value.7. To clear the log file, click the Clear Log button.8. To display the full details of a log entry, double click the selected entry in the list. The Error Propertiespanel appears. Use the arrow buttons on the Error Properties panel to scroll up or down through the logentries in the list. To copy detail data <strong>for</strong> a single log entry to the clipboard, click the Copy button. Clickthe Close button to return to the Log Viewer panel.9. To exit the Log Viewer panel, click the Close button.


Miscellaneous Features 1149.11 FASTR Report ConversionFor <strong>JD</strong>E World customers only, <strong>Spreadsheet</strong> <strong>Server</strong> offers a utility to convert FASTR report definitions intoExcel workbook <strong>for</strong>mats. Using the template provided, <strong>use</strong>rs can select the FASTR program number andrevision via the Get Report lookup feature and convert the report to Excel <strong>for</strong>mat.1. From Windows Explorer, navigate to C:\Documents and Settings\All Users\Shared Documents\<strong>Global</strong><strong>Software</strong> SS<strong>JD</strong>E\Samples. Open the Excel spreadsheet named <strong>JD</strong>E Fastr Template and click OK toenable the macros. The spreadsheet loads and a new menu called FASTR is added to Excel.2. In Excel from the FASTR menu, select Get Reports. The Host Signon <strong>for</strong> Reports dialog box appears.3. On the Signon dialog box identify the host name, <strong>use</strong>r ID and password, and click Sign On. The FASTRReports panel appears.4. On the FASTR Reports panel, specify the name of the library containing the FASTR reports and clickShow Reports. A list of reports appears.<strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


115<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M95. Double click on the desired report (Program ID and Version ID) to be converted. The conversion processcreates an Excel workbook using the Program ID and Version ID as the name and stores it in the locationidentified at the bottom of the FASTR Reports panel.


Index 116Index- A -account 80, 81balance drill down 80, 81balances 42, 92budget data 46Budget Manager balances 47combined segment list 64description 39Fixed Assets balances 55Fixed Assets detail drill down 88generate audit trail 96journal drill down 84, 92journal entry line drill down 85, 92multiple columns drill down 83sales detail drill down 87segment lists 62subsystem detail drill down 86weekly balances 45account master 89balances 92copy to clipboard 90drill down 92export to Excel 90list 89ad hoc drill down 74add-in 7audit trail 96- B -benefits and features 5BUDESC 30, 40budget data 46Budget Manager balances 47build a template 27building spreadsheets 26business unit 40description 40business unit type 48segment lists 63using in GXA/GXAB 48- C -calculation options 72disable 110enable 110refresh PC cache 73category code 64combined segment list 64description 66Fixed Assets 58segment lists 63using in GXA/GXAB 48CODESC 30, 41company 41description 41components 6configurator 6copy to clipboard 74, 90customize grid layout 74, 78- D -data validation 95disable <strong>for</strong>mula calculations 110drill down 80, 92account balances 80, 92account balances summarized 81export to Excel 76Fixed Assets detail 88general grid features 74grid layout 78journal entry lines 85journals 84manage group totals 79multiple column account balances 83sales detail 87subsystem detail 86- E -enable <strong>for</strong>mula calculations 110error log 112Excel add-in 7expand detail reports 97account detail 97account detail (multiple source lines) 100© 2011 ... <strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


117<strong>Spreadsheet</strong> <strong>Server</strong> <strong>for</strong> <strong>use</strong> <strong>with</strong> <strong>JD</strong> <strong>Edwards</strong> - Release V11 R3 M9expand detail reports 97account detail (single source line) 98account detail by category code 105journal entry detail 103journal entry detail by category code 107export to Excel 74, 76, 90- F -FASTR report conversion 114features and benefits 5Fixed Assets 55category codes 58drill down 88FXA 55<strong>for</strong>mula 30, 40BUDESC 30, 40CODESC 30, 41disable calculations 110enable calculations 110FXA 30, 55GXA 30, 42GXA/GXAB <strong>for</strong> budget data 46GXA/GXAB <strong>for</strong> Budget Manager 47GXA/GXAB using business unit type 48GXA/GXAB using category codes 48GXA/GXAB using segment lists 67GXA/GXAB using value lists 49GXAB 30, 45GXC 30GXD 30, 39GXE 30, 97, 98, 100, 103GXECC 30, 105, 107GXSALES 30, 51SSLDESC 30, 68<strong>for</strong>mula assistant 30FXA 30, 55list accounts 50- G -generate account detail 96grid features 74ad hoc drill down 74copy to clipboard 74customize layout 74, 78export to Excel 74, 76manage group totals 74, 79move/resize columns 74re-sort columns 74GXA 30, 42GXA/GXAB 42, 45<strong>for</strong> budget data 46<strong>for</strong> Budget Manager 47list accounts 50using business unit type 48using category codes 48using segment lists 67using value lists 49GXAB 30, 45GXC 30GXD 30, 39GXE 30, 97, 98, 100, 103GXECC 30, 105, 107GXSALES 30, 51- H -hide zero balance rows 109host server 111reset connection 111- I -installation 7introduction 4- J -journal drill down 84journal entry line drill down 85- L -list accounts 50, 89account master 89copy to clipboard 90export to Excel 90in a <strong>for</strong>mula 50segment list 69load local PC database 19Log Viewer 112© 2011 ... <strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.


Index 118- M -manage group totals 74, 79menu 10move/resize grid columns 74- N -navigation 9SS ribbon 13SS toolbar 12S<strong>Server</strong> menu 10- O -optional components 6- P -PC cache 73- R -refresh PC cache 73required components 6reset host server connection 111re-sort grid columns 74restore hidden rows 109ribbon 13rows 109hide 109restore 109- S -sales detail drill down 87segment lists 59create/maintain 59enter descriptions <strong>for</strong> category codes 66enter values <strong>for</strong> business unit type 63enter values <strong>for</strong> category code lists 63enter values <strong>for</strong> combined lists 64enter values <strong>for</strong> segment lists 62print 59retrieve description 68synchronize 70using in GXA/GXAB 67view values 69settings 16SS ribbon 13SS toolbar 12S<strong>Server</strong> menu 10SSLDESC 30, 68start <strong>Spreadsheet</strong> <strong>Server</strong> 15reset host server connection 111subsystem detail drill down 86- T -template wizard 27toolbar 12- U -uninstall 8<strong>use</strong>r settings 16- V -validation lists 95value lists 49<strong>use</strong>d in GXA/GXAB 49view account balances 92view log 112- W -wizard template 27- Z -zero balance rows 109hide 109restore 109© 2011 ... <strong>Global</strong> <strong>Software</strong>, <strong>Inc</strong>.

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