Hi,
I recently had some difficulties with Import Data in financial Consolidation Model using function AppEnegine ConsolidationLoadDataFromIntegration, because, currently, the function is designed to return only a boolean value (true or false) without providing detailed information about any issues encountered.
Without generate logs, like for example, currency not defined in file or in Company Settings, period not open, accounts no exist, etc. Then this difficult the analysis and identification of the errors in import data.
I saw that exist an Enhancement request about this topic - 106908. Then to give more visibility to this Enhancement I share in forum, to anthers users that have the same issue vote (or note) in this new feature.
Regards
Rui