In as much detail as possible, describe the problem or experience related to your idea. Please provide the context of what you were trying to do and include specific examples or workarounds:
The IRR function in Anaplan is calculating the final IRR based on the entire cashflow over the timescale. We need it to calculate it by period to get the IRR value by period.
How often is this impacting your users?
Very often as it is blocking their planning & forecasting. Creating a manual workaround for this is size heavy (each report taking around 60-70 GB) as the calculation is happening by day.
Who is this impacting? (ex. model builders, solution architects, partners, admins, integration experts, business/end users, executive-level business users)
Business/end users, solution architects (for replicating this manually)
What would your ideal solution be? How would it add value to your current experience?
IRR function allowing to define the start and end period and to calculate it over time period.
Please include any images to help illustrate your experience.