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Advanced Revenue Management: Fair Value Allocation Configuration
Hi all,
I am in the process of configuring the Fair Value allocation's side of Advanced Revenue Management for a customer whose FV allocations are different from the usual process in NetSuite.
In essence, the calculation would go something like this:
Step 1. Calculate the lower bound of the FV for the item
Step 2. Calculate what the Standalone selling price is for the item.
Step 3: Decision
If the price is above the lower bound then take the price as the FV amount.
If the price is below the lower bound, then take the Standalone selling price as the FV amount.
My understanding is that the module would be unable to handle the decision process in step 3. Has anyone come across an issue similar to this before?