Summary
The QBE Builder reporting tool is used to create customized reports in the Cash Receipts module. Reports are created in the QBE Builder by selecting columns, creating arguments to remove records (Transaction Date < 01/01/2021), selecting how the report will group and sort, and then defining the totals that will display on the report. After the report has been created, it can be printed out or exported into an MS Excel or CSV format. Reports that have been created using the QBE Builder tool can be saved and generated at any point.
This document will cover how to create a specific example report that provides an explanation of primary tables, secondary tables, arguments and totals. When creating your own QBE reports, it is helpful to know the general structure of the database and how the information entered into the fields on a window will be stored in the database fields and tables.
The Table/Field help feature available in Springbrook V7 Desktop (Help> Table/Field) is designed to be used in conjunction with database security (SS> Security> DB Security), but it can be helpful when building QBE Reports to help you determine where the information entered into a field on a window is stored. This tool will not always be helpful because it will display the exact name of the table and field where the information is stored, but QBE Builder uses simplified and more intuitive field and table names. While this feature is not available in Cirrus, you can use it in V7 Desktop to help you create your Cirrus QBE reports.
The report we will create in this example is a report that shows all the cash transactions that were $59.00. Every module with a QBE reporting tool offers a different example report, so if the report you want to create is different or more complicated than the report created in this example, refer to the QBE examples in other modules for more help. The QBE Report feature works the same in all of the modules, but the information that is available to report on is different from module to module.
Step by Step
1 View the QBE Reports.
- Open the Query by Example window (CR> Utilities> Query by Example).
- The left section of the Query by Example window will display all of the reports that have been created in the CR module. Select a report in the left section of the window and the customized report information will populate in the right section of the window just like many of the other maintenance windows in the application.
- Highlight a report and click DELETE REPORT to delete the highlighted report.
- Click the Add a new record button to create a new QBE report. Enter a name for the new QBE report in the Report Name field.
- Highlight a report and click the Print button to print an existing QBE report. The Notifications icon will display a new item when your report is ready.
- Highlight a report and click the Export button drop-down and select Export Report to export the highlighted report data.
- Highlight a report and click the Export button drop-down and select Export Definition to export the report definitions of the highlighted report. This exported report definition file can then be imported using the Import icon. This allows organizations to share QBE reports.
2 Select the tables that contain the information you would like to include on the report.
- The first step in creating a customized report is selecting the information you would like to display on the report. Information in a database is organized into tables and fields. Fields are used to store specific information, such as customer names. Fields are then grouped into tables. For example, a grouping could consist of a customer table that contains all of the general customer information, such as address and phone number. When information is entered into a window in the application, that information is stored in a specific field within a specific table. When creating a QBE report, select the tables that contain the information you would like to include on the report and then select the fields.
- Select a table from the Table Name drop-down menu in the Primary Table section. The Available Fields section will populate with the fields grouped into that table. If the table you select does not contain all of the fields you want to report on you will have to select a secondary table.
- Some tables in the database are linked together because they share a common field called a key. The key connects the data in the two tables together and defines how the data in one table is related to the data in another table. If the table you selected in the Table Name drop-down menu in the Primary Table section is linked to other tables, you can select a secondary table in the Secondary Table section. As you select a secondary table from the Table Name drop-down menu, new fields will be added at the bottom of the Available Fields section. If you need information from two different tables, but those tables are not linked together, you will not be able to create the report.
- From the Table Name drop-down menu in the Primary Table section, select CR Receipt.
3 Select the fields you would like to include in the report.
- After you have selected the tables you can pull the fields from those tables onto the report. Check the toggles of the fields you would like to include on the report in the Available Fields section. Only fields with a check will display on the report.
- In the Available Fields section, check the Customer Number, Customer Name, and Cash Amount toggles. These are the columns that will show up in the report.
4 Set the number of records that will display on the report.
- The Results Limit field in the Primary Table section is used to define the maximum number of records that will display on the report. If you set this value to a very large number (99,999,999,999) you run the risk of creating a report that will take a long time for your server to process.
- Enter 100 in the Limit field to limit our cash transactions report to 100 results.
5 Create a filter argument for the report.
- Click the Add button + to open an argument filter field below the Table Name drop-down menu. Argument filter fields are used to create an argument that will filter the information that will display on the report.
- In order to filter the report to only include cash transactions equal to $59.00, we need to create an appropriate argument.
- Select Cash Amount from the first drop-down menu directly below the Table Name field. Selecting a value for this field activates the two fields to the right.
- The next field contains the operators that will give the argument meaning. Select Equal from this drop-down menu.
- Type 59.00 in the third argument field.
- Click the Save button to save the argument to the Primary Table field.
- Click the Test the current query button to confirm that the query is valid.
- Enter the arguments in the Secondary Table section.
- When you enter an argument in the Primary Table and the Secondary Table section the arguments will be joined with an AND statement, meaning records must meet the conditions in both section before they will display on the report.
- Our example does not use a secondary table.
- The AND and OR buttons will be enabled after you add the argument to the report. The AND and OR buttons are used to link the conditions of an argument together so you can build more complicated filtering.
- Our example does not use the AND or OR function.
- When you enter an argument in the Primary Table and the Secondary Table section the arguments will be joined with an AND statement, meaning records must meet the conditions in both section before they will display on the report.
6 Modify the report layout.
- After the fields have been selected and the arguments have been entered on the report you are ready to set up the report layout. The report layout allows you to define how the report will be grouped and totaled, and also allows you to select which fields will total.
- Click the Modify report layout button to open the Modify Report Layout screen.
- Drag and drop the columns to change the order in which the information will display on the report.
- Move column headings to the section above the column headings to change how the information is grouped on the report.
- The Column Totals section is used to select which columns should be totaled on the report. Check the toggle of the totals you would like to include on the report.
- Only columns that would provide a meaningful total will be available in the Column Totals section.
- Click the Save button when complete to save the report layout. The QBE report will print in the saved format when the report is generated.
- If no changes were made on the Modify Report Layout screen, click SHOW QUERY to return to QBE screen.
7 Print or export the report.
- Once the required report settings have been specified, click the Print button to print your report.
- Click the Export button drop-down and select Export Report to export the report data in MS Excel or .CSV format.
- If your report appears to be missing information but your filters seem to be correct, make sure the Results Limit field in the Primary Table section contains a large enough number to contain all of the records you want to include in the report.