This guide shows how to refresh data store queries and update all imports for the Bond Report so it reflects the latest information. Follow the steps to select all queries, run the refresh, and reload imports to ensure your report uses current data for accurate results.
- Select 'Refresh Data Store Queries' from 'More' > 'Data' menu for 'Bond Report'
- Check 'Select all' and click 'OK' to refresh queries
- Open 'Bond Report' tab menu and select 'Refresh All Imports'
- Click notifications icon to verify task completion
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