Hello Team,
can you please help check, which setup I missed? currently I have two test environments in my screenshot.
in the left side, I inputed 33 as charges and allocated it equally on the right side 100 charge.
However, the 33 is being charged to purchase expenditure for the product and the 100 is charged to purchase price variance. May I know which setup made the two different behavior?
both are standard setup for the item.
thanks,
ace