HI
I have a line item which contains all the cashflows I require for the IRR calculation, but I need to have the cashflows against the last day of each period to get the correct IRR result.
In order to do this I have created a transactions list "Trans 01, Trans 02, etc" and then for each of the projects created a line item which enters the relevant transactions list item against beach cashflow, as shown in screen shot below.

I now want to create a transactions module which has no time dimension and pulls through the cashflows and period end dates for each project against the transactions list based on the entry in the source module line item "Transaction No. Mapping" as shown below. I can then use the IRR with dates calculation I need.

Below is the blue print for the source module

Here is the blue print for the target module.

In excel this is a simple V or H lookup to the transaction no.
But I just cant seem to get it right in Anaplan, any help appreciated.
Thanks