Vital Signs Upgrade to 1.5
Contents
Summary
Instructions for Upgrading to 1.5 from older releases
From 1.1
From 1.2
From 1.3
From 1.4
Windows
Login to the Windows server as the vitalsigns administrator
Make a copy of the current vitalsigns directory and rename it : v15_vitalsigns
Extract the 1.5 Vitalsigns zip files
Copy the extracted bin files to v15_vitalsigns/bin/
Open the following presentation level application in 2 QlikView windows (1.5 extracts and current 1.4 copies in v15_vitalsigns). Compare the bookmarks/reports/Custom Charts. Export/Import any custom reports/bookmarks to the new Qvw files, copy any Custom Charts to the new Qvw files
- Daily_Membership_Summary.qvw
- Weekly_Membership_Summary.qvw
- Monthly_Membership_Summary.qvw
- Membership_Analysis_by_ACCOUNT.qvw
- Transaction_Analysis.qvw
- Loan_Application.qvw
Copy the extracted presentation level documents into v15_vitalsigns/YOURCU/
Copy the extracted MBRSHLN load level qvw file into v15_vitalsigns/YOURCU/data/mbrshln/
- Load_Qvd_MBR_SHARE_LOAN.qvw
Copy the extracted HIST load level qvw file into v15_vitalsigns/YOURCU/data/hist/
- Load_Qvd_Hist.qvw
Copy extracted read level qvw files into v15_vitalsigns/YOURCU/data/
- Read_Qvd_Membership_Analysis
- Read_Qvd_Membership_Analysis_by_ACCOUNT
- Read_Qvd_Monthly_Membership_Summary
- Delete Read_Qvd_Daily_Membership_Summary and Read_Qvd_Weekly_Membership_Summary
- Copy Read_Qvd_Monthly_Membership_Summary twice and rename copies:
- Read_Qvd_Daily_Membership_Summary
- Read_Qvd_Weekly_Membership_Summary
- Read_Qvd_Transaction_Analysis
- Read_Qvd_Loan_Application
- Reload_Qvd_Fix_ChgOff
Copy extracted config files into v15_vitalsigns/YOURCU/data/config/
- Carefully merge vitalsigns.xls with vitalsigns-samp.xls
- In the vitalsigns.xls on the GlobalVars sheet
- Make sure vUseAcctXref = 1
- Make sure that vReportFrequencies exists : Daily, Weekly, Monthly
- Save vitalsigns-samp.xls to vitalsigns.xls
- In the vitalsigns.xls on the GlobalVars sheet
Carefully merge membership_analysis.xls with membership_analysis-samp.xls
- Save membership_analysis-temp.xls to membership_analysis.xls
Carefully merge documentdistribution.xls with documentdistribution-samp.xls
- Save documentdistribution-samp.xls to documentdistribution.xls
Carefully merge VS_BRANCH_INFO.xls with the VS_BRANCH_INFO-samp.xls
- Save VS_BRANCH_INFO-samp.xls to VS_BRANCH_INFO.xls
- BranchReassign.xls
- If this files doesn't exist, review the Vital Signs-v15 - Transaction Analysis Setup.pdf
- Rename BranchReassign.xls BranchReassign-temp.xls until you have all of the Branch Numbers for the Credit Union and their corresponding drawer numbers (Including Virtual Branches)
- Get a list of the Branch numbers and associated drawer numbers for the CU
- Virtual Branches are supported as well - A Virtual Branch is a Branch number that does not exist in Spectrum but can be assigned to real drawer numbers and tracked in Transaction Analysis
- Important - If BranchReassign.xls is found without being completely filled out, any matching drawer numbers with a 0 branch will be dropped from Vital Signs. It is VERY important to get all of the branch information correct the first time. It is important to also list reserved drawer numbers that can potentially be assigned to a branch in the future.
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