Hi,
My current table is structured as follows:
| Record | F1 | DailyCalc | F3 | F4 | Type |
| 1 | [Null] | USD | EUR | GBP | Internal |
| 2 | Interest Collections | 500000.5 | 105000.8 | 165000 | Internal |
| 3 | Principal Collections | 385125000 | 840000.6 | 8955000.5 | Internal |
How do i get it to read as below,
| Record | Cash Account | Amount | Type |
| 1 | USD Principal Collection | 385125000 | Internal |
| 2 | USD Interest Collection | 500000.5 | Internal |
| 3 | EUR Principal Collection | 840000.6 | Internal |
| 4 | EUR Interest Collection | 105000.8 | Internal |
| 5 | GBP Principal Collection | 8955000.5 | Internal |
| 6 | GBP Interest Collection | 165000 | Internal |
@EmilAlteryx01 one way of doing this
is it possible to provide this in a workflow format
@EmilAlteryx01 workflow attached
This solution worked.. Thanks @binu_acs
