Dear Seshu,
I didnt get you. Can you pls explain because my scenario is to create a reconciliation report. I believe the standard data sources cant be used for reconciliation purpose because the reconciliation check boxes are not checked. I was thinking of creating a generic data source with reconciliation enabled, load this to a virtual cube, and to keep the virtual cube and sales overview cube in a multiprovider. Please correct me if I am wrong and kindly suggest me if there is any other alternatives.
Thanks a lot
Rakesh