The value of the idea is calculated in the VDT as the difference between baseline and target.


 The benefit (cash in the bank) is calculated based on the variance between the baseline and actual (based on actual KPI performance) for any given month. 


This calculation can be viewed on the “Benefits Calculation” screen of each idea. 


The combined totals of all the ideas are displayed in the cumulative benefits chart.


The targets for actual benefit delivered are derived from the pipeline targets. 100% of Locked-In value and 50% of Cash Flowing value.