Load Data

Perform these steps to load your data.

  1. Load the exchange rate to the RATE InfoProvider.

    The RATE model stores the exchange rates for currency translation. You should make sure the exchange rate data is already correctly maintained inside the RATE InfoProvider that is referenced by your consolidation model.

  2. Input ownership data and calculate ultimate ownership.

    SAP Business Planning and Consolidation provides Ownership Manager in Consolidation Center so you can update the Ownership InfoProvider directly.

  3. Load the financial data.

    After loading the financial data, use an SAP Business Planning and Consolidation report to validate that the numbers reconcile with the numbers in the source system.