| Course OutlineModule 1: Overview and Introduction This chapter gives students a general overview of the features and benefits of using Microsoft FRx for financial statement design. It also introduces the demo company that will be used in the course exercises. Lessons - About FRx Software Corporation products
- Terminology
- Demo company account structure
- Sample report demonstration
After completing this chapter, students will be able to: Understand the terminology used in class Have a high level understanding of rows, columns, trees and how they relate to each other in the catalog Generate a catalog to FRx DrillDown Viewer and navigate to the various reports and drill down levels Module 2: Creating a Trial BalanceThis chapter focuses on one of the most basic and essential reports, a trial balance that shows the general ledger activity for the month and/or year. A trial balance is a starting point for analyzing and reconciling account balances and activity. Once your trial balance is in balance, Income Statements and Balance Sheets, which group together certain natural or main accounts to report assets, liabilities, revenues, and expenses, may be created. Lessons - Using the "Add Rows from Chart of Accounts" feature to automatically populate the row format with account numbers and descriptions
- Using wildcards or ranges to summarize data
- Using the Normal Balance field and how C's affect the account presentation
- Using underscores and totals
- Using Header Codes to automatically update column headers each month
- Use of the BASE Period and Year in the Column Layout to ease maintenance
- Setting the Report Date to an option that automatically progresses through the year for ease of report maintenance
- Defining a detail level in the Catalog
- Introduce the default Formatting options
- Using existing building blocks to speed setup time
- Using the View, Subtotals function in FRx DrillDown Viewer
Lab : Detailed Trial BalanceLab : Summary Trial BalanceAfter completing this chapter, students will be able to: Create a new Row Format either manually or with Add Rows from Chart of Accounts Add format codes and related information to a row Create a new Column Layout designed for current and year to date results Add column headers, using either header codes or text Create a new Catalog, defining the detail level, report date, building blocks and formatting as desired Module 3: Creating an Income StatementThis chapter focuses on another primary financial statement, the Income Statement. Income Statements may be detailed or summarized and may also compare current performance to budgeted projections or previous results. Lessons - Using the Add Rows from Chart of Accounts function to quickly create a basic template
- How proper placement of C's in the Account Balance column of the Row Format will flip the balance of an account for presentation
- How the presentation of the accounts included determine the math for related TOT or CAL formulas
- How to use a Special Format Mask on a row formula to determine display
- Using system defined or custom fonts for emphasis
- Working with rounding options
Lab : Detailed Income StatementAfter completing this chapter, students will be able to: Understand the use of "C" in the Row Format Add a TOT or CAL format code and related information to a row Add a Special Format Mask to a row Define the font for a given row Edit the report header using either codes or text Define a font for a report header Define rounding options Module 4: Reporting TreesThis chapter examines Reporting Trees, what they are, why to use them and most importantly, how to create and maintain them. Reporting Trees are created by defining a number of related attributes, such as the company name and account mask. Tree depth and complexity is up to the report designers needs and may include security items, email addresses, links to external spreadsheet data and more. Lessons - Characters used with Add Reporting Units
- Segment hierarchy
- Defining a segment range
- Adding custom units to a tree
- The default Reporting Tree
- Relating Reporting Trees to Row Formats
- How trees define multiple reports in a single catalog
- Using check rows to insure all accounts are included
- Rounding options and how they relate to calculations
- How to relate description or underscore rows to other rows
- Exception reports and how they work
Lab : Creating Reporting TreesLab : Departmental Income StatementAfter completing this chapter, students will be able to: Understand the symbols used in Reporting Trees Create a basic Reporting Tree using Add Reporting Units from Chart of Accounts Define the hierarchy when building a Reporting Tree on multiple segments in the account mask Limit the range of a segment when building a Reporting Tree Add new units to a Reporting Tree Modify the hierarchy of a Reporting Tree Understand how Reporting Trees relate to the Row Format Relate rows in the Row Format Add a check row or exception report to verify report accuracy Define rounding in the catalog Module 5: ReviewThis chapter allows students to review the concepts learned thus far in class by correcting some errors or omissions in a report. Lessons - Review basic report design concepts
Lab : What's Wrong?After completing this chapter, students will be able to: Module 6: More on Reporting TreesThis chapter continues with the concepts learned thus far, and expands that knowledge with more complex building blocks and catalog settings. Lessons - How to create a Column Layout based on current and prior results
- Defining unit hierarchy when building a Reporting Tree
- How to split a segment to create a virtual segment in Reporting Trees
- Adding custom units to a Reporting Tree
- Generating specific Reporting Tree units
- Using header and footer codes in the Catalog
Lab : This year vs. last year Income StatementLab : Income Statement by LocationAfter completing this chapter, students will be able to: Create a multiple year Column Layout Add column header text that will span multiple columns Dynamically print the year in the column header Define the account segment hierarchy when building a Reporting Tree Add custom units to a Reporting Tree Create a Reporting Tree containing a virtual reporting segment Set specific Reporting Tree units to automatically generate Understand the difference between using Save As and Clone to copy an existing catalog Module 7: Transaction Detail ReportingThis chapter looks at transaction details and the specific columns that work with them. These allow for reporting on such items as source journal, transaction date and transaction reference number. Common column restrictions are also introduced. Lessons - Creating a transaction detail Column Layout
- Restricting a column to either debit or credit activity
- Restricting a column to display beginning balances
- Generating a Catalog to the Microsoft Office Excel output option
- How report presentation varies between Microsoft Excel and FRx DrillDown Viewer
Lab : Cash Transaction DetailsLab : Debit/Credit DetailsAfter completing this chapter, students will be able to: Understand how wildcards in the Row Format display multiple accounts Add transaction details to the Column Layout design Restrict a column to include debit or credits only Define a column to present beginning balances for the period Generate a report directly to Excel Understand how the 'format as Excel outline' option affects the output Module 8: Using FRx DrillDown ViewerThis chapter shows students some additional functionality available within FRx DrillDown Viewer. Lessons - Printing reports from FRx DrillDown Viewer
- Sending reports
- Export options in FRx DrillDown Viewer
Lab : Viewing/Printing Account DetailLab : Using the Send featureLab : Export OptionsAfter completing this chapter, students will be able to: Print a financial or detail report from FRx DrillDown Viewer Send a report from the FRx DrillDown Viewer Export a report using Formatted Excel Export a report using standard Excel Export a report to an HTML format Module 9: Working with Specification SetsThis chapter focuses on Specification sets; the file that contains all the building blocks created during report design. Lessons - Understand the specification set (.F32) file
- Defining the active spec set in the Company Information settings
- Navigation in the Specification Sets window
- Learn to "save as" between spec sets
- Learn to export and import between spec sets
Lab : Saving between Spec SetsLab : Export and Import between Spec SetsAfter completing this chapter, students will be able to: Module 10: What we KnowThis chapter allows students to review the concepts learned so far by taking a concept quiz and modifying an existing report. Lessons - Review basic report design concepts
Lab : Modify Building BlocksAfter completing this chapter, students will be able to: Module 11: Balance SheetsThis chapter focuses on Balance Sheet design, another primary financial report. Students learn about Account Sets and how to create them, as well as functionality designed to keep Balance Sheets in balance. Lessons - Account Sets
- Presentation of Balance Sheet accounts (using C in the Normal Balance)
- Defining Year to Date Income in the Balance Sheet
- Using the XD code to suppress drill down on specific rows
- Using column G of the Row Format to define placement in the Column Layout
- Using the Rounding Adjustments function
- Using XD in the Column Layout to suppress GL details
Lab : Detailed Balance SheetLab : Comparative Balance SheetAfter completing this chapter, students will be able to: Create a variety of Column Layouts for use in Balance Sheet reporting Define or modify Account Sets Understand data presentation in Balance Sheet reporting Suppress a row in the Row Format from drill down to account or transaction details Understand Rounding Adjustments and how to work with them Define specific column placement for information in the Row Format Suppress details in GL type columns Module 12: Income Statement VariationsThis chapter introduces several variations of the standard Income Statement. Lessons - Summary Income Statement design
- Trended Income Statement design
- Using conditional statements in the Column Layout
- Using Account Modifiers in the Row Format to override the Column Layout
- Variance reporting (Over/(Under) and Favorable/(Unfavorable) methods
- Sort commands
Lab : Summary Income StatementLab : Trended Income StatementLab : Current & YTD Trended Income StatementLab : Over/(Under) Budget Income StatementLab : Favorable/(Unfavorable) Budget VariancesAfter completing this chapter, students will be able to: Create a trended Column Layout Define conditional print controls in the Column Layout Use Account Modifiers in the Row Format to override Column Layout definitions Add a variance calculation to the Column Layout Understand XCR and how it is used for variance reporting Add a sort format code and its related information to a Row Format Module 13: Relational ReportingThis chapter introduces the concept of relational reporting, where one or more base rows and related column calculations are defined. Common uses of relational reporting include percentage of sales and percentage of total expenses, however this concept may be used for any report that requires reporting on a relationship between elements. Lessons - Defining CBR (Base) rows in the Row Format
- Defining Column Layout calculations that work with CBR in the Row Format
- Suppressing CBR in detail reports
Lab : Defining a Base RowLab : Multiple Base Row DefinitionsAfter completing this chapter, students will be able to: Define one or more CBR (base) rows in a Row Format Understand the proper placement of CBR rows Enter a calculated column in the Column Layout that references the CBR rows Suppress CBR calculations for account details when drilling down Module 14: Side by Side ReportingThis chapter continues working with Income Statement designs by introducing a side by side presentation of departmental data. Lessons - Using Account Filters in the Column Layout
- Restricting columns to specific Tree Units in the Column Layout
Lab : Side by Side Reporting with FiltersLab : Side by Side Reporting with a Reporting TreeAfter completing this chapter, students will be able to: Create a Column Layout using Account Filters Create a Column Layout using the Reporting Unit restriction Understand how these two methods of side by side reporting differ and when to use each Module 15: Report DistributionThis chapter introduces a variety of topics related to report distribution. Lessons - Naming conventions
- Chain to Catalog ID functionality
- Report archive options
- E-mail distribution methods available in Microsoft FRx
- FRx WebPort distribution
- FRx Report Manager Demonstration
Lab : Chaining Report CatalogsAfter completing this chapter, students will be able to: Chain catalogs for easier report generation Understand the common methods for creating an archive of reports Distribute reports via E-mail Have a high level overview of WebPort and Report Manager, optional components available with Microsoft FRx Module 16: What's Wrong?This chapter gives students an opportunity to correct a report containing some basic report design flaws. Lessons - Importing a .tdb file
- Troubleshooting a report
Lab : Broken Income StatementAfter completing this chapter, students will be able to: Module 17: TroubleshootingThis chapter shows students how to perform basic maintenance within Microsoft FRx. Lessons - Rebuilding the GL Index (.G32 file)
- Compacting the Microsoft FRx Databases
- Getting additional help
- Report Design Guidelines
Lab : Rebuilding the GL IndexLab : Compacting the Microsoft FRx DatabasesAfter completing this chapter, students will be able to: Delete the .G32 file, forcing it to rebuild Compact the Microsoft FRx Databases Understand where to get additional help Understand basic report design guidelines Module 18: Advanced ConceptsThis chapter introduces some creative uses for Microsoft FRx reports and previews some reports taught in the Report Design Essentials II course. Lessons - Adding a Microsoft FRx report to Microsoft Office Outlook
- Adding report information to Excel and Microsoft Office Word documents
- Overview of Microsoft FRx Report Design Essentials II training class
After completing this chapter, students will be able to: Module 19: Appendix A: SolutionsThis appendix contains solutions to quizzes and tutorials completed during class. Module 20: Appendix B: Using Report LauncherThis appendix covers the features and functionality of Microsoft FRx Report Launcher. Report Launcher is a separate Microsoft FRx component that allows users to generate reporting catalogs that have been created with FRx Report Designer. Based on student needs, this appendix is optional for classroom presentation. Lessons - How does FRx Report Launcher differ from FRx Report Designer
- What are the functions available in FRx Report Launcher
After completing this chapter, students will be able to: Module 21: Appendix C: Concept ReviewThis appendix is intended for future reference and contains a recap of the functionality discussed in class. Lessons - Row Formats
- Column Layouts
- Reporting Trees
- Catalog of Reports
Module 22: Appendix D: SecurityThis appendix provides an overview of the security options available in FRx Report Designer. Lessons - Network security
- Padlock security
- How to activate security in Microsoft FRx
- How to create Microsoft FRx users and groups
- How to apply component security within Microsoft FRx
After completing this chapter, students will be able to: Use the padlock to secure a component Activate Microsoft FRx security and create users and groups Assign users or groups to Microsoft FRx components Module 23: Appendix E: Report ManagerThis appendix introduces the five simple steps to Report Book creation and covers FRx Report Manager functionality. Lessons - Report Book design
- Properties - General
- Headers and Footers
- Security
- Distribution
- Publishing
- File or Report Properties
- Report Options
- FRx DrillDown Viewer display
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