MENU
    R365 Intelligence Glossary
    • 04 Dec 2024
    • 13 Minutes to read
    • Dark
    • PDF

    R365 Intelligence Glossary

    • Dark
    • PDF

    Article summary

    The R365 Intelligence Glossary provides explanations of multiple terms used throughout R365 Intelligence. This glossary is broken down by the following topics:


    Attributes

    Attribute

    Definition

    15 Minute Interval

    Time intervals by 15 minutes.

    30 Minute Interval

    Time intervals by 30 minutes.

    Approved vs. Unapproved

    Whether a financial transaction has been approved or unapproved.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Comment

    Comments left on financial transactions.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.  

    Date

    The calendar date as defined by a standard operating calendar.

    Day of Week

    The day of the week Monday- Sunday.

    Daypart

    The break up of Operation Days into segments that can then be reported on individually (i.e. Breakfast, Lunch, Dinner). Day Parts can be configured from the Labor Matrix or Location Records.

    When used on a visualization, dayparts assume chronological order, and will be sorted by the time of day in which they occur. Ex.: Breakfast, Lunch, Dinner, Late Night, etc.

    Delivery Service

    The Delivery Services that deliver from an organization's Locations.

    Prerequisite Setup: Delivery service mapping must be complete in the operations dashboard.

    Employee Name

    The names of the Employees as defined by their Employee Record.

    Financial Account Type

    Type of financial account.

    Ex. Assets, equity, liability, sales account, etc.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Financial Report

    The financial report type.

    Ex.: Profit & Loss or Balance reports.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Fiscal Period

    The 12 months in a configured Fiscal Year. Fiscal Period name is the Period Name assigned in Fiscal Period Setup.

    Fiscal Quarter

    A period of three months or three Fiscal periods in a configured Fiscal Year.

    Fiscal Week

    The week of the year as defined by the configured Fiscal Year.

    Fiscal Year

    The 12-month period to report all financial transactions. Fiscal Years are configured for Legal Entities from the Administration tab in R365.

    GL Account

    GL accounts by name.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    GL Account Number

    GL accounts by their associating number.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    GL Type Name

    GL types by name.

    Ex. Inventory, Current Asset, Current Liability

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Hour Interval

    Intervals by hour.

    Inventory UofM

    UofMs labeled as Inv UofM as configured in R365, primarily used for inventory counting.

    IsEntree

    AnR365 Menu Item field that identifies those Menu Items as Entrees as configured in R365.

    Prerequisite Setup: Users must mark Menu Items as Entrees on the Menu Item Record in R365.

    Item Category 1

    All Item Categories labeled as Item Category 1 as configured in R365.

    Prerequisite Setup: Users must first create an Item Category labeled as Item Category 1 in R365.

    Item Category 2

    All Item Categories labeled as Item Category 2 as configured in R365.

    Prerequisite Setup: Users must first create an Item Category labeled as Item Category 2 in R365. 

    Item Category 3

    All Item Categories labeled as Item Category 3 as configured in R365.

    Prerequisite Setup: Users must first create an Item Category labeled as Item Category 3 in R365. 

    Item Name

    The name of the Item as assigned in the Item Record.

    Item Type

    The type of Item (I.e. Recipe or Purchase Item).

    Job Department

    The Job Department titles created in R365 for Job categorization.

    Prerequisite Setup: Users must first create Job Departments in R365.

    Job Title

    The title assigned to a job in R365. Job Titles in R365 map Job Codes to R365 GL Accounts.

    Job Operating Category

    The Operational Reporting Categories used in Operations and set up in R365.

    Legal Entity

    The companies that own the Locations.

    Location

    The Restaurant Location(s) by name.

    Location #

    The identifying number assigned to the Location on the Location record.

    Location Category 1

    The Location Reporting Category 1 as configured in R365 System Preferences.

    Prerequisite Setup: For all Location Categories, Users must first create a Location Reporting Category in R365.

    Location Category 2

    The Location Reporting Category 2 as configured in R365 System Preferences.

    Location Category 3

    The Location Reporting Category 3 as configured in R365 System Preferences.

    Location Category 4

    The Location Reporting Category 4 as configured in R365 System Preferences.

    Location Category 5

    The Location Reporting Category 5 as configured in R365 System Preferences.

    Location Category 6

    The Location Reporting Category 6 as configured in R365 System Preferences.

    Location Category 7

    The Location Reporting Category 7 as configured in R365 System Preferences.

    Location Category 8

    The Location Reporting Category 8 as configured in R365 System Preferences.

    Location Category 9

    The Location Reporting Category 9 as configured in R365 System Preferences.

    Location Category 10

    The Location Reporting Category 10 as configured in R365 System Preferences.

    Menu Item

    The menu items by name as displayed in R365.

    Menu Item Category 1

    All Menu Item Categories labeled as Menu Item Category 1 as configured in R365.

    Prerequisite Setup: Users must first create a Menu Item Category labeled as Menu Item Category 1 in R365.

    Menu Item Category 2

    All Menu Item Categories labeled as Menu Item Category 2 as configured in R365.

    Prerequisite Setup: Users must first create a Menu Item Category labeled as Menu Item Category 2 in R365.

    Menu Item Category 3

    All Menu Item Categories labeled as Menu Item Category 3 as configured in R365.

    Prerequisite Setup: Users must first create a Menu Item Category labeled as Menu Item Category 3 in R365.

    Order Mode

    The way in which an order is made or the type of order (i.e. Dine-in, Carry-Out, Delivery).

    Operational Period

    The operational period based on the operational year as configured in R365.

    Prerequisite Setup: Users must set an operational year when completing Fiscal Year setup for a Legal Entity.

    Operational Quarter

    A period of 3 months as defined by the operational year configured in R365.

    Prerequisite Setup: Users must set an operational year when completing Fiscal Year setup for a Legal Entity.

    Operational Reporting Category

    The operational reporting categories.

    Prerequisite Setup: Users must set up operational reporting categories in R365.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Operational Week

    The operational week based on the operational year as configured in R365.

    Prerequisite Setup: Users must set an operational year when completing Fiscal Year setup for a Legal Entity.

    Operational Year

    The operational year as configured in R365.

    Prerequisite Setup: Users must set an operational year when completing Fiscal Year setup for a Legal Entity.

    Payment Group

    The payment group assigned to the payment type from the default R365 payment groups. Payment groups are assigned to payment types on the R365 Payment Type Account record.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Payment Type

    Represents the method of payment used by customers in sales transactions.

    Payment types are first received from the POS import, then configured in R365.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Reporting UofM

    UofMs labeled as Reporting UofMs as configured in R365, primarily used as a baseline or comparable UofM across all locations.

    Service Type

    The types of service (i.e. Dine-In, Drive Thru, Delivery services, Online Ordering).

    Transaction Number

    The identifying number associated with each individual transaction.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Transaction Type

    The type of transaction logged.

    Ex. Item transfer, donation, AP invoice, AP credit memo, bank deposit, etc.

    This is a financial attribute and should only be paired with other financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Vendor Item

    Item record as defined by the vendor. Vendor items can have one or many relationships with a Purchased Item.

    Vendor Name

    The name of the Vendor.


    Metrics

    Metric

    Definition

    Actual Shift Count

    The total number of actual shifts worked by Employees.

    Cash Tips

    The total dollar amount of tips collected in Cash. This excludes Credit Card Tips.

    CC Tips

    The total dollar amount of tips collected from Credit Cards. This excludes Cash tips.

    Check Count

    The total number of checks.

    Comp Amount

    The total dollar amount of all Comp transactions.

    This does not include coupon types.

    Comp QTY

    The total number of Comp transactions.

    This does not include coupon types.

    Credit

    The dollar amount of credit transactions.

    This is a financial metric and should only be paired with financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Debit

    The dollar amount of debit transactions.

    This is a financial metric and should only be paired with financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    DT Actual Hours

    The total amount of all double-time hours worked by Employees.

    Prerequisite Setup: Users must have double-time rules scheduled on the Overtime Rules tab of the Labor Admin page.

    DT Actual Wages

    The total dollar amount of double-time wages paid to Employees

    Prerequisite Setup: Users must have double-time rules scheduled on the Overtime Rules tab of the Labor Admin page.

    Gross Sales

    The grand total of all sales transaction reported without any deductions.

    Guest Count

    The total number of guests or customers that visit during operating hours.

    House Account Amount

    The total dollar amount of sales tied to a House Account.

    House Account QTY

    The number of House Accounts.

    Menu Item Cost

    The dollar cost of a menu item based on its linked Recipe in R365. This metric can be used with PMIX attributes and metrics as well as global attributes.

    The menu item cost metric is a beta feature. For more information, please contact your CSM. 

    Net Change

    The difference between the beginning and ending balance.

    This is a financial metric and should only be paired with financial attributes, financial metrics, or global attributes to avoid a cartesian join error.

    Net Sales

    The total dollar amount of all sales after necessary deductions.

    OT Actual Hours

    The total amount of all overtime hours worked by Employees.

    Prerequisite Setup: Users must have Overtime rules scheduled on the Overtime Rules tab of the Labor Admin page.

    OT Actual Wages

    The total dollar amount of overtime wages paid to Employees.

    Prerequisite Setup: Users must have Overtime rules scheduled on the Overtime Rules tab of the Labor Admin page.

    Payment Amount

    The total dollar amount of sales payments processed through the POS system.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Payment Amount PW (Prior Week)

    The total dollar amount of sales payments processed during the previous week.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Payment Amount PY (Prior Year)

    The total dollar amount of sales payments processed during the same period in the prior year.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Payment QTY

    The total number of sales transactions associated with a payment type or payment Group, as reported by the POS system.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    This value may exceed the standard check count due to split payments.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Payment QTY PW
    (Prior Week)

    The total number of sales transactions by payment type or payment group during the previous week.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Payment QTY PY
    (Prior Year)

    The total number of sales transactions by payment type or payment group during the same period in the prior year.

    Prerequisite Setup: Users must complete payment type account mapping to ensure accurate reporting.

    Sales payment data originates directly from the POS system. As a result, these values cannot be manually overridden unless a repoll is performed or the POS system corrects an error.

    Promo Amount

    The total dollar amount of all Discount transactions.

    This does not include coupon types.

    Promo QTY

    The total number of Discount transactions.

    This does not include coupon types.

    QTY Sold

    The total quantity of products sold. Used for looking at QTY Sold by menu item.

    Regular Actual Hours

    The total number of regular hours worked by Employees. This excludes both OT and DT hours.

    Regular Actual Wages

    The total dollar amount of regular wages paid to Employees. This excludes both OT and DT wages.

    Sales Amount

    The dollar amount of Sales based on the total product quantity sold. Used for looking at sales by menu item.

    Tax Amount

    The total dollar amount of taxes collected.

    Total Actual Wages

    The total dollar amount of all wages paid to employees including RT, OT, and DT wages.

    Total Actual Hours

    The total amount of all hours worked by employees including RT, OT, and DT hours.

    Total Tips

    The total dollar amount of tips collected, including both Cash tips and Credit Card tips.

    Total Amount

    The total amount of Sales for PMIX reporting.

    Void QTY

    The total number of Void transactions. These transactions are attributed to the time the item was voided.

    Void Amount

    The total dollar amount of all Voided transactions. These are attributed to the time the item was voided.

    Ordered QTY

    The quantity of units ordered (such as in a Purchase Order).

    Ordered Amount ($)

    The total dollar amount of Items ordered based on the quantity and cost of each Item.

    Ordered Each Cost ($)

    The cost of each unit ordered.

    Received QTY

    The quantity of units received into inventory (such as in an Item Transfer or invoices).

    Received Amount ($)

    The total dollar amount of Items received into inventory based on the quantity and cost of each Item.

    Received Each Cost ($)

    The cost of each Item received.

    Scheduled Shift Count

    The total number of scheduled shifts.

    This metric only considers published shifts.

    DT Scheduled Hours

    The total number of double-time hours scheduled for Employees.

    Prerequisite Setup: Users must have double-time rules scheduled on the Overtime Rules tab of the Labor Admin page.

    This metric only considers information based on published shifts.

    DT Scheduled Wages

    The total dollar amount of double-time wages scheduled to be paid to Employees based on the scheduled DT hours.

    Prerequisite  Setup: Users must have double-time rules scheduled on the Overtime Rules tab of the Labor Admin page.

    This metric only considers information based on published shifts.

    OT Scheduled Hours

    The total number of overtime hours scheduled for Employees.

    Prerequisite  Setup: Users must have Overtime rules scheduled on the Overtime Rules tab of the Labor Admin page.

    This metric only considers information based on published shifts.

    OT Scheduled Wages

    The total dollar amount of overtime wages scheduled for Employees.

    Prerequisite Setup: Users must have Overtime rules scheduled on the Overtime Rules tab of the Labor Admin page.

    This metric only considers information based on published shifts.

    Regular Scheduled Hours

    The total number of regular hours scheduled for Employees. This excludes both OT and DT Scheduled hours.

    This metric only considers information based on published shifts.

    Regular Scheduled Wages

    The total dollar amount of regular wages scheduled to be paid to Employees based on the regular scheduled hours. This excludes both OT and DT Scheduled wages.

    This metric only considers information based on published shifts.

    Total Scheduled Wages

    The total number of hours scheduled for Employees. This includes RT, OT, and DT Scheduled hours.

    This metric only considers information based on published shifts.

    Total Scheduled Hours

    The total dollar amount of wages scheduled to be paid to Employees based on the total scheduled hours. This includes RT, OT, and DT Scheduled wages.

    This metric only considers information based on published shifts.

    Unapproved

    The dollar amount of unapproved transactions.

    This is a financial metric and should only be paired with financial attributes, financial metrics, or global attributes to avoid a cartesian join error.


    Was this article helpful?