We have an issue with project's financial summary. The point is that for every cost line (and for every time period) we need to enter and store 4 different parameters (sums) instead of "Forecast" and "Actual " only.
I wonder if anybody has encountered such task and appropriate developmant maybe?
I had a client that had a similar situation. They ended up using the Financial Data Tables (introduced in 9.12) to capture the other data point they needed. There is a bit of a manual coordination to make sure you have comparative lines between the FDT and the FS.