on 09-19-2014 5:06 PM
Hi experts,
I have an issue with a particular activity type at the time of plan data calculation. I would expect that the activity type price should be calculated in USD based on the x-rate defined for each period. However, for the activity type "B" (detailed in the charts below) it is calculated the same price for all periods based on an average of the x-rates for all periods involved. Please see the details on the charts below:
TCURR | ||||
Type | Period | From | To | Value |
P | 1.2014 | USD | ARS | 1.00 |
P | 2.2014 | USD | ARS | 2.00 |
Activity Type A | Activity Type B | ||||
Period | ARS | USD | Period | ARS | USD |
1.2014 | 50.00 | 50.00 | 1.2014 | 50.00 | 33.33 |
2.2014 | 50.00 | 25.00 | 2.2014 | 50.00 | 33.33 |
I want to apply activity type "A" logic for calcuation. Where it is defined the way to convert the prices from local currency to group corrency?
Thanks,
Jorge
Problem solved. Rounding issue.
Regards,
Jorge
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