Hi all,
the client I work on has a 3 level investment wbs structure and has the requirement to plan costs (both values and quantities) and report plan/actual (both values and quantities) at the last level of the wbs.
My idea is the following:
1) Plan on last level of wbs using Easy Cost Planning, with both quantity and values --> can i see values and quantity after planning at wbs level? which is the report?
2) I can use the planning values in order to insert the budget on wbs (this allows availability check on P.O.)
3) Take actual values after Good Receipt is posted (with last level wbs as account assignment. No materials are created into MARA table) --> is it possible to see actual values and quantity on wbs through standard reports? Or should i use G.R. tables?
4) Create a report with which i can check plan/actual quantities and values --> is there a standard way to do it or is it a custom report?
What do u think about? Is it ok or should I do something different?
Thank you