Adventures in Groovy – Part 32: Require Explanations When Data Is Outside Acceptable Ranges

Groovy offers creative ways to force data into acceptable ranges.  But, what happens when there is an acceptable reason for abnormal trends, or drivers?  With Groovy, you can not only add limits to data cells, but you can also allow entry outside of those ranges if the user enters an explanation.  With Groovy, you get the best of both worlds!

Use Case

Requiring data within limits is a huge improvement to your application.  It improves the accuracy and ownership of the budget, and reduces fire-drills at the end of your budget cycle.  In this example, we will require a rate to be between -10 and 30 percent.  If a user enters data outside that range, the form will not be able to be saved.

However, if a user enters a comment, Groovy will then allow the form to be saved.  Is this perfect?  Of course not.  A user can still go in and enter a poor explanation, or just enter a space to bypass the validation rule.  I have always felt that no system can make people be responsible, so we will assume that your users are doing what they are instructed and your leadership will hold them accountable.  To show this functionality, view this short video.

The Code

This validation is actually quite simple.  This follows the same rules as other validations and must be “Run Before Save.”  Use Members on Form and Hide Prompts is also suggested.

// Define cell colors for errors
def BackErrColor = 16755370  
// Iterate through the row with the rate and only the months - exclude quarters and totals
operation.grid.dataCellIterator('ProdRev_2_%_Inp','Jan','Feb','Mar','Apr','May','Jun’,'Jul','Aug','Sep','Oct','Nov','Dec').each { 
  // If data is above .3 or lower than -.1 and does NOT have a cell note, throw the error
  if( (it.data > 0.3 || it.data < -0.1) && !it.hasCellNote() ) {
    it.addValidationError(BackErrColor,"Your Margin has to be between -10% and 30%.  If you want enter something outside that range, an explanation is required", false) 
  }
}

Finishing Up

I really hope this inspires you to be creative about using Groovy to add useful user functionality.  As you can see, you can add awesome functionality relatively easily.  If you have any creative solutions you would like to share, please add a comment.




Adventures in Groovy – Part 31: Benefits of Running Logic in Groovy (Bypass Essbase)

Say what? An application where no calculations are performed with the Essbase calculation engine?

Business logic, currency, and every other calculation can be performed within Groovy outside of Essbase. I don’t know how I feel about this yet, but the thought of building this in calculations on an ASO cube is intriguing. The elimination of consolidating BSO cubes and data movements with Smart Pushes is also interesting. Some of my coworkers have built entire applications this way with great success and speed. I wanted to replicate this on a small scale to identify the pros and cons of this methodology, and here is what I found.

In my adventures, I found that performance was similar. Sometimes it was quicker, sometimes a little slower. I did not do large allocations, but I have done account calculations and currency conversion. I have done it on form save as well as globally. Complexity varies. If you are a Groovy expert, it likely seems less complex. If you are an Essbase developer, it might seem more complicated. Code can be reused by developing functions and placing them in scripts, just like Essbase scripts can be embedded into rules.

One thing I did find appealing for a user is that change history is complete! If you have dabbled with this, you will know that the change history only includes edited data by a user. So, calculated accounts don’t show any history. When the calculations are done in Groovy, the results are stored in a grid, and saved to the database. This mimics a user updating the values and reflects in the change history. This, I think, is pretty cool.

Another benefit is that calculated data in a grid is reflective of the inputs. With prompts, or when data isn’t validated, the form shows the results of the calculations before the data is saved in the form. I have been asked by many if it is possible to show the results real time before save (like an adhoc form with formulas built in Excel). This is now possible if you get creative.

Before we jump into the code, it might make sense to understand what dimensions/members are in the POV.

Code Introduction

The following calculation is replicating what an Essbase calculation is performing.

  1. Performs simple math to calculation revenue and costs – mostly simple multiplication and division
  2. Looks up the currency rates for the Entity selected and applies the exchange rate to the account if it is identified as an account that should be converted (ignores statistical accounts, for example)
  3. Converts the account from ProdRev to the representative account in the P&L plan type.
  4. Submits the calculated results to both the ProdRev BSO and ASO (in a real world situation, you may decide to exclude the BSO cube and connect the form and write the data directly to the ASO cube)

As previously mentioned, there are a couple way to do this. This method runs post save and pulls the necessary data from the cube and created two GridBuilders to submit the calculated accounts back to the databases. It would likely be more productive to pull the data from the grid the user entered it, assuming there were no other data points that were needed to calculate all the accounts. This would reduce the performance by one retrieve. This also connects to the BSO cube, and this may not even be in play if all the calculations were executed in Groovy and the forms connected to the ASO cube. So, I welcome all questions and constructive feedback, but understand this is one way to do this and it will be used to demonstrate the functionality. It doesn’t necessarily represent the best way to architect the plan types.

The data entry form is below. Some of the dimensions are hidden in the POV or Page Header. The columns just include the Period dimension. The rows, and this is important to understand because of the way the code loops, contain the vendors and the accounts.

Explaining the Code

On with the show! The first piece includes a couple functions that will be referenced in loops. I find repetitive logic like this placed in function to be more readable, but it certainly isn’t required.

// This function returns the POV member with or without quotes
// This is one operation I want to look into as it may not be required or may be executed better
def getPovMbr(member, boolean quotes = false) {
  if(quotes == true)
    return '"' + operation.grid.pov.find{it.dimName==member}.essbaseMbrName + '"'
  else
    return operation.grid.pov.find{it.dimName==member}.essbaseMbrName
}
// This function returns a 1 if the value is 0.  The primary use of this is currency
// exchange.  In this example, the planners didn't enter 1 for a USD to USD conversion, 
// so somewhere a 1 needed to be assumed.
def checkZero(double dVal=0) {
  if(dVal == 0) {
    return 1
  }
  else {
    return dVal
  }
}
// This returns a true or false as to whether the account has a UDA identifying that 
// account as one that either does or doesn't get converted.
boolean convertCurrency(def account)
{
  Dimension AccountDim = operation.application.getDimension("Account")
  Member AccountMbr = AccountDim.getMember(account)
  def memberProps = AccountMbr.toMap()
  if(memberProps['UDA'].toString().contains('IgnoreCurrencyConversion'))
    return false
  else
    return true
}

The next piece is setting each POV member in a variable. If you have read some of my other posts, there are better ways to do this. For the sake of simplicity and trying to explain other concepts, I have chosen to do it this way.

// Set each POV to its own variable
String sCompany = operation.grid.getCellWithMembers().getMemberName("Company")
String sVersion = operation.grid.getCellWithMembers().getMemberName("Version")
String sScenario = operation.grid.getCellWithMembers().getMemberName("Scenario")
String sYear = operation.grid.getCellWithMembers().getMemberName("Years")
String sMaterialGroup = operation.grid.getCellWithMembers().getMemberName("Material_Group")
String sChannel = operation.grid.getCellWithMembers().getMemberName("Channel")
String sSource = operation.grid.getCellWithMembers().getMemberName("Source")

At this point, the administrative stuff is out of the way. The first thing this example does functional is to get the currency exchange rates for the month of the Entity selected. This would be a little more complex if it were converting income statement and balance sheet accounts because it would need to distinguish the difference so the correct rate (average or ending) was applied.

// Define the map to hold the appropriate rate.  This will be a map that has an entry for each month, with the value equal to 
// the conversion rate - Jan:.878, Feb:.899, ...
def currencyRates = [:]
// Build currency for the company by retrieving the correct POV from the plan type
Cube lookupCube = operation.application.getCube("ProfRev")
DataGridDefinitionBuilder builder = lookupCube.dataGridDefinitionBuilder()
builder.addPov(['Years', 'Scenario', 'Version','Channel','Material_Group','Source','Vendor','Currency','Account'],[[sYear],[sScenario],[sVersion],['No_Channel'],['No_Material_Group'],['Input'],['No_Vendor_Assigned'],['Local'],['End_C_Rate']])
builder.addColumn(['Period'], [ ['ILvl0Descendants("YearTotal")']])
builder.addRow(['Company'], [ [sCompany] ])
DataGridDefinition gridDefinition = builder.build()

// Load the data grid from the lookupCube to the Map
lookupCube.loadGrid(gridDefinition, false).withCloseable { dataGrid ->
  dataGrid.dataCellIterator().each{ rate ->
    currencyRates.put(rate.getMemberName('Period'),checkZero(rate.data))
  }
}

Now that we have a map of the currency rates, the next piece will create the grids that will submit the calculated results back to the cubes. Remember, in this example, the data is being entered to a plan type that is a BSO cube. This will submit the results back to the BSO cube, but also to the corresponding reporting (ASO) cube. Since this is done post save (and we will assume post Smart Push), the data needs to be update in both places. Is this the best and most efficient way to do this? Probably not. Again, take it for what it is – an education on bypassing the Essbase calculations!

// Get list of vendors that are in the rows
def listVendors = operation.grid.rows.headers*.essbaseMbrName.collect {vendor, account -> return vendor}.unique()

// Create a list of calculated members that need to be in the grid
def listAccounts = ["Regular_Cases","Net_Sales","prodRev_Level_1","Cost_of_Sales_without_Samples","prodRev_Level_2","Depletion_Allowance_Manual_Chargeback"]

//prodRev Grid Setup
Cube prodRevCube = operation.application.getCube("prodRev")
Cube rprodRevCube = operation.application.getCube("rprodRev")

DataGridBuilder prodRevGrid = prodRevCube.dataGridBuilder("MM/DD/YYYY")
DataGridBuilder rprodRevGrid = rprodRevCube.dataGridBuilder("MM/DD/YYYY")

prodRevGrid.addPov(sYear,sScenario,sVersion,sChannel,sMaterialGroup,sSource,sCompany)
rprodRevGrid.addPov(sYear,sScenario,sVersion,sChannel,sMaterialGroup,sSource,sCompany,'MTD')
prodRevGrid.addColumn('Jan','Feb','Mar','Apr','May','Jun','Jul','Aug','Sep','Oct','Nov','Dec')
rprodRevGrid.addColumn('Jan','Feb','Mar','Apr','May','Jun','Jul','Aug','Sep','Oct','Nov','Dec')

The next piece is replicating what would be in a typical Essbase calculation. This is the business logic and currency conversion.

// Define the currencies to be updated and sent back to the database
def lstCurrency = ["Local","USD"]
// loop through the grid the user entered their updates.  This will loop through each vendor, then loop
// through each account for each vendor
listVendors.each{ vendor ->
  listAccounts.each{ account ->
    // Create two variables to hold the calculated results for local and USD
    def sValues = []
    def sValuesUSD = []
    // Create two variables to hold all the monthly calculated results to be added to the grid to submit
    List addcells = new ArrayList()
    List addcellsUSD = new ArrayList() 
    // Run for 12 months - this would likely need to be dynamic for a form that included 
    // the option for forecast and plan
    ['Jan','Feb','Mar','Apr','May','Jun','Jul','Aug','Sep','Oct','Nov','Dec'].each{cMonth ->
    // Calculate all the accounts
    double setValue
      switch (account) {
         case "Net_Sales":
           setValue = operation.grid.getCellWithMembers("Avg_Price/Case_Inp",cMonth.toString(),vendor.toString()).data * operation.grid.getCellWithMembers("Regular_Cases",cMonth.toString(),vendor.toString()).data
           break
         case "prodRev_Level_1":
           double netSales = operation.grid.getCellWithMembers("Avg_Price/Case_Inp",cMonth.toString(),vendor.toString()).data * operation.grid.getCellWithMembers("Regular_Cases",cMonth.toString(),vendor.toString()).data
           setValue = netSales * operation.grid.getCellWithMembers("prodRev_1_%_Inp",cMonth.toString(),vendor.toString()).data
           break
         case "Cost_of_Sales_without_Samples":
           double netSales = operation.grid.getCellWithMembers("Avg_Price/Case_Inp",cMonth.toString(),vendor.toString()).data * operation.grid.getCellWithMembers("Regular_Cases",cMonth.toString(),vendor.toString()).data
           double prodRev1 = netSales * operation.grid.getCellWithMembers("prodRev_1_%_Inp",cMonth.toString(),vendor.toString()).data
           setValue = netSales - prodRev1
           break
         case "prodRev_Level_2":
           double netSales = operation.grid.getCellWithMembers("Avg_Price/Case_Inp",cMonth.toString(),vendor.toString()).data * operation.grid.getCellWithMembers("Regular_Cases",cMonth.toString(),vendor.toString()).data
           setValue = netSales * operation.grid.getCellWithMembers("prodRev_2_%_Inp",cMonth.toString(),vendor.toString()).data
           break
         case "Depletion_Allowance_Manual_Chargeback":
           double netSales = operation.grid.getCellWithMembers("Avg_Price/Case_Inp",cMonth.toString(),vendor.toString()).data * operation.grid.getCellWithMembers("Regular_Cases",cMonth.toString(),vendor.toString()).data
           double prodRev1 = netSales * operation.grid.getCellWithMembers("prodRev_1_%_Inp",cMonth.toString(),vendor.toString()).data
           double prodRev2 = netSales * operation.grid.getCellWithMembers("prodRev_2_%_Inp",cMonth.toString(),vendor.toString()).data
           setValue = netSales - prodRev1
           break
         default:
           setValue = operation.grid.getCellWithMembers(account.toString(),cMonth.toString(),vendor.toString()).data
           break
      }
      // Update the variables that will be used to create the grid rows
      sValues.add(setValue)
      addcells << setValue
      // Convert Currency if account should be converted
      if(convertCurrency(account) == true){
        sValuesUSD.add(currencyRates[cMonth].toString().toDouble() * setValue)
        addcellsUSD << currencyRates[cMonth].toString().toDouble() * setValue
      }
      else
      {
        sValuesUSD.add(setValue)
        addcellsUSD << setValue
      }
    }
    // After all 12 months are traversed calculated, add local and USD to the grid
    prodRevGrid.addRow([account.toString(),vendor.toString(),'Local'],addcells)
    prodRevGrid.addRow([account.toString(),vendor.toString(),'USD'],addcellsUSD)
    rprodRevGrid.addRow([account.toString(),vendor.toString(),'Local'],addcells)
    rprodRevGrid.addRow([account.toString(),vendor.toString(),'USD'],addcellsUSD)
  }
}

The last piece is to submit the grids. The following will write to the log the number of cells accepted and rejected.

// After all vendors and account have been calculated, submit the grid to the respective database
DataGridBuilder.Status status = new DataGridBuilder.Status()
DataGridBuilder.Status rstatus = new DataGridBuilder.Status()
DataGrid grid = prodRevGrid.build(status)
DataGrid rgrid = rprodRevGrid.build(rstatus)
println("Total number of cells accepted: $status.numAcceptedCells")
println("Total number of cells rejected: $status.numRejectedCells")
println("First 100 rejected cells: $status.cellsRejected")
prodRevCube.saveGrid(grid) 
println("Total number of cells accepted: $rstatus.numAcceptedCells")
println("Total number of cells rejected: $rstatus.numRejectedCells")
println("First 100 rejected cells: $rstatus.cellsRejected")
rprodRevCube.saveGrid(rgrid)

So…

Why Do this?

This would add complexity for those who don’t know Groovy.  It is a completely different thought process. But there are benefits.

  • Elimination of the BSO application creates a simpler model.
  • There is no requirement of data synchronization between the BSO and ASO cube.
  • Users will see cell history for all data that was changed, not just the data changed by a user directly.

That is not to say there aren’t drawbacks, because there are.  I am sure if you are experienced, you are already asking questions about clearing data, large allocations, and several other necessary components.

Is It Worth It?

Honestly, I don’t know yet. This is a complete paradigm shift in our world. The thought of calculating everything in Groovy and not having a BSO plan type is just completely foreign to me. The exploration of this option and documenting here surely proves my interest is peaked! Large allocations seem to be slower than BSO Essbase calculations. Everything else seems to be as quick or quicker. I think in the short term, having both gives us the best of both worlds, even with the additional need to synchronize the data between the two. Long term? Who knows. I never thought I would even be entertaining it, so I am not closing my mind to the possibility.

What do you think?