Real-Time Update of Report Cube
Once the setup is complete, you can populate the report cube with the required information.
You run Financial Report Cube Generate, which builds the initial balances for the cube. During the generation, the GL data of the source entities is read, translated, and the result is stored in the report cube. At the same time, a log file is created that contains information on the build process. After the first successful build, the status of the cube becomes Operational and it is ready for reporting.
From that point onwards, the Cube daemon automatically keeps the balances in the cube up to date in real time.