How can amounts differ between Financial Consolidation and Excel Web Schedules ?
If an account is configured in the Financial Consolidation Dimension Builder with x number of decimals, this amount is less precise than the amount stored in Excel. The amount prior to the update might be different to the amount after the update.
The spread formulas specific to EWS enable you to take the Excel format into account when performing the calculation. When the schedule is updated, the amount will be rounded up or down as required.
