Use of virtual cube 0FIGL_V10 for reporting on Financal Statements

Dear all,
I am new to the GL reporting and I have a question about the usage of the virtual cube for reporting on Financial Statements.
On the content site I see that you can report your Balance Sheet based on the infocube 0FIGL_C10, where you can use the infoobject 0GLACCOUNT to display the balances.
I also installed the Virtual Cube 0FIGL_V10, which has the infoobject 0GLACCEXT to show the Financial Statement Item hierarchy.
My questions are:
- to create a Balance Sheet Report, is it advisable to use the content query 0FIGL_C10_Q001?
If I run that query now, it is showing the data on seperate G/L accounts, where I would like to see a hierarchy display.
For reporting on the capital expenditure however the requirement is that some G/L acoounts don't have to be taken into account. How can I exclude those then from the hierarchy for that report?
- to create the P&L, advice on the content site is to use the virtual cube because you have the Financial Statement Item hierarchy available there and you can report on specific financial statements.
Can anyone tell me the added value of using the Virtual Cube? Or can I skip it and just add the Financial Statement Item hierarchy in the 0FIGL_C10 cube and create a report where I select the nodes of the hierarchy that are only applicable for the P&L? Will that corrupt the figures or have any other effect?
Thanks in advance for the help!

Hi Sundar,
As ravi said the VC can be used when we have leass number of users, basically in VC the structure will be available. And moreover when you generetae a report based on Multiprovider which is based on the VC then it will pick up the data directly from the source to which it has been connected..
Hope it helps..
***Assign Points***
Thanks,
Gattu

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