Upgrading to Intelligence Analytics Winter 2024
This page describes the changes to make when upgrading to Winter 2024.
See the Upgrade Steps section under each feature for details of any action required. If you don't want to use or upgrade an optional feature, you can skip the upgrade steps for that feature. To perform upgrade steps in your org, you must be assigned administrator permissions.
See the Included in this Feature section under each feature for details of assets such as dashboards, datasets, dataset fields, or lenses that have been added or changed in this release.
For information on new features and changes to existing features in Winter 2024, see New Features and Enhancements in Intelligence Analytics Winter 2024.
Intelligent Cash Flow Forecasting with Einstein Recommendations, Bank Reconciliation Data and Dashboard Redesign
Upgrade Steps
To upgrade this feature to Winter 2024, take the following action.
Step |
Action |
Further Information |
---|---|---|
1 |
Define actionable variables in your Days to Pay model to see Einstein Discovery suggested improvements on your Cash Flow Forecast - Intelligence dashboard. |
|
2 | Reconfigure your Intelligence Analytics app. It is not necessary to change the answers previously given. | See the Salesforce Help. |
Included in this Feature
Dashboard | Further Information |
---|---|
Cash Flow Forecast - Intelligence | Using the Cash Flow Forecast - Intelligence Dashboard |
Field Type | Field Label | Field API Name | Description |
---|---|---|---|
Measures | Bank Reconciliation Closing Balance | BankReconciliationClosingBalance | Closing Balance calculated as Opening Balance + Collections - Payments. |
Bank Reconciliation Opening Balance | BankReconciliationOpeningBalance | The opening balance taken from the previous reconciliation's closing balance. | |
Days to Pay after Improvement | DaysToPayAfterImprovement | Estimated Days to Pay after performing the action suggested to improve the Days to Pay prediction outcome. | |
Dimensions | Actionable Field Name | ActionableFieldName | The field selected as an actionable variable when you deploy your Einstein Discovery model. |
Actionable Field Value | ActionableFieldValue | The value of the actionable field suggested to improve the days to pay outcome. | |
Bank Account Currency Name | CurrencyBankAccount | The name of the currency that relates to the bank account. | |
Bank Account Name | BankAccountName | The name of the bank account that relates to the bank reconciliation. | |
Bank Reconciliation Reference | BankReconciliationReference | The name of the bank reconciliation related to the transaction. | |
Company ID | CompanyId | The ID of the company record related to the bank reconciliation. | |
User | UserCompanySecurity.c2g__User_c | Related to the security predicate implementation. | |
Dates | Bank Statement Date | BankStatementDate | The date of the bank statement related to the transaction. |
Filter Node | Description |
---|---|
Filter Bank Reconciliations | Matches only bank reconciliations with the status of "Completed". |
Certinia Help Is Now Available from help.certinia.com
No additional steps are required to upgrade this feature. The Help links in dashboards are automatically updated when you upgrade your Intelligence Analytics app.
For more information, see Certinia Help URL.
Release Content
Upgrade Steps
No addition upgrade steps are required to upgrade this feature to Winter 2024