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  • Create a new model Read Account History
  • Drag - Add a new File Collector onto the modelling pane menu
  • Call the new file collector Read Account History
  • Hover over your new File Collector, and press
  • In the file explorer, go to: …\inputData\AccountTransactions
  • Select the file AccountTransactions.xlsx and press Open
  • In the Upload Managed File form, press press Image Modified

By default the file collector is set up to read from the first sheet in the workbook – and the Stream is configured to hold this data.
You will need to update this configuration to read from the second sheet:

  • Permanently delete the generated Stream ReadAccountHistory
  • Open the configuration form for the file collector by double-clicking the icon on your modelling pane
  • Go to the Advanced tab
  • In the field Excel Data Expression enter: "accountHistory!A1:F100"
  • Press Press Image Modified - Apply
  • Go to the File Columns tab
  • Delete the attributes that have been automatically created (these reflect the data in the first sheet in the workbook)
  • Move to the File Columns tab
    • Press - Create the file attributes automatically from the header row in the file

CenterView PhixFlow will read the file and work out the attributes that make up the file. You will see these attributes appear in the Attributes list

  • In the banner of the File Collector details form, press - Create a new Stream using the File Collector attributes
  • Have a look the attributes in the new stream – you can see that these have been derived from the columns in the file collector
  • Save your changes
  • Run analysis on the Stream and confirm that the data that has been read into CenterView PhixFlow is from the second tab in the spreadsheet