Creating source compute

Use this procedure to use formulas to calculate the source amount. When the Use Source Compute is selected, you must define and assign a source compute.
  1. Select Intercompany Billing > Transfer Pricing Allocations > Recharges.
  2. Open a recharge.
  3. Click the Sources tab.
  4. Open a source where the Use Source Compute is selected.
  5. Select the Source Compute field to show Custom Compute.
  6. Click Create.
  7. Specify this information:
    Custom Compute
    Specify the name of the custom compute.
    Description
    Specify a description for the custom compute.
    Effective Date
    Specify the date that the custom compute goes into effect.
  8. On the Editor tab, select Compute.
  9. Specify the Field Name, Default Label, Field Type, Size, and Decimals.
    If the formula references a field, we recommend that you follow the field size of the field that is referenced. For example, if the reference is to General Ledger Total balance, you set the size and decimal to 20 and 2 respectively.
  10. On the Definition tab, specify a formula.
    The source compute is defined in the business class allocation line. Any fields in the allocation line can be referenced by the custom compute but these are the relevant fields:
    Source
    The generated combination or the summary/posting of the source address.
    CurrentValue
    The value of the posting or summary source line currently being evaluated.
    CurrentCurrency
    The currency of the posting transactions currently being evaluated.
    AllocationPeriod
    The recharge period. The value is determined based on the date selected during the recharge calculation.

    To reference a custom total in a compute, see Creating custom total and referencing custom total in a custom compute to set up the formula.

  11. Click Save.