文本描述
每周指标评估Target Plan June Wk21-24, May 19-Jun15 Center 1 Target
Cashflow Allocation Actual Sales(Cash flow) Actual Sales CLT Required
leads Actual
Leads Target
ACH Actual
ACH Week Team CC A CC B CC C CC D CC E CC A CC B CC C CC D Refund Team CC E wk3034 129734 28183.5 28183.5 28183.5 28183.5 17000 16117 22467 25105 7880 71569 5610 120 83 6230 5431 wk3035 158762 35440.5 35440.5 35440.5 35440.5 17000 38488 47800 45048 26719 171512 13457 121 75 6200 5324 wk3036 109059 22764.75 22764.75 22764.75 22764.75 18000 40304 34307 55223 34112 163182 -764 122 92 4020 2458