In Management Reporter I have a consolidated income statement using a tree to pull in separate companies and sub-consolidations. I would like the report to generate using specific row definitions depending upon the entity in the reporting tree.
I was told that this could be done by simply entering the different row definitions into the "Row Definition" column in the tree definition screen. But every time I change one of the row definitions, it populates ALL of the items in the tree with that same row definition. I can't seem to get it to use multiple different row definitions in the same tree.
Any ideas?