Loading Data

Procedure

  1. Load the exchange rate to the RATE model.

    The RATE model stores the exchange rates for currency translation. There are several ways to upload the data to the RATE model, such as using the Data Manager import package, or using dynamic templates to send data from the input schedule. For more information, see Currency Translation Rule.

  2. Input ownership data and calculate ultimate ownership.

    SAP Business Planning and Consolidation, version for SAP BW/4HANA, provides an ownership-based hierarchy editor in Consolidation Central so you can update the OWNERSHIP model directly.

  3. Load the financial data.

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