Create Project Cost Accounting Voucher
Explanation
This activity is used to create internal charging between, e.g.,
different cost centers within the company. Only the internal prices are used for internal
charging. How to set up the posting control is described in the Define Financial
Basics process.
This activity should be performed again after having
created a periodical overhead adjustment for project labor overhead.
Prerequisites
Before posting cost transactions, the following should be considered:
- The relevant posting types should be defined in the
Posting Control
window.
The following posting types are available:
Posting Control Type |
Posting Control Name |
PRJC1 and PRJC2 |
Project Personal Costs |
PRJC3 and PRJC4 |
Project Non-Personal Costs |
PRJT1 and PRJT2 |
Project Time |
PRJT3 and PRJT4 |
Project Labor Overhead |
PRJT5 and PRJT6 |
Project Labor Multiple Overhead |
PRJI1 |
Project Invoicing (with VAT) |
PRJI2 |
Project Invoicing (without VAT) |
- The relevant posting types for multi-company project reporting are as
follows.
Only the multi-company project transactions, where the Multi-Company Revenue Reporting Method of the employee company
project is set to Project Invoice, are selected for the voucher.
Posting Control Type |
Posting Control Name |
PRJT7 and PRJT8 |
Multi-company Time Reporting |
PRJC5 and PRJC6 |
Multi-Company Project Personal Costs |
PRJC9 and PRJC10 |
Multi-Company Project Non-Personal Costs |
- You may want to set the Create Cost Accounting
column to Yes
in the Report Codes/Report Code Details
window.
- You may want to set the Create Cost Accounting
column to Yes
in the Project/Project PrePosting window.
- You may want to define overhead labor cost in the
Cost Details Basic Data window and/or
Overhead Rules
window (multiple overheads).
- The project transactions should have the Create Cost Accounting
column set to Yes.
System Effects
As a result of this entry, a voucher is created and can be viewed in the
Voucher Analysis
window.
Window
Transfer Project Cost
Accounting Transactions
Related Window Descriptions
Transfer Project Cost
Accounting Transactions
Procedure
- Open the Transfer Project Cost Accounting Transactions
dialog box.
- By default, a set of data is already loaded:
- Global company,
- Start and End dates (starting and end date of the previous month),
- Voucher Date (same as the end date),
- Default user group to which your logged on user is assigned,
- Default voucher type connected to the user group.
You can return to default settings at any time by clicking Default.
If you want to keep default settings, skip to step 8.
- In the Company ID field, enter the identifier of a company for
which the transfer will be performed.
- In the Start Date and End Date fields enter a period from
which all transactions eligible for cost accounting will be submitted.
- In the Voucher Date field, enter the date for the voucher.
- In the User Group field, enter a user group that will determine
what voucher types you can access. You can select only groups to which your
user is assigned.
- In the Voucher Type field, enter the type of voucher that will be
generated. Vouchers that you can enter depend on the user group selected in
step 6 and predefined function groups. Function groups, in turn, depend on
what IFS modules are installed.
- If you want to create cost accounting only for a specific project, you
can enter the identifier of the project in the Project ID field. You
can use the list of values.
- You can narrow the selection further by entering a sub-project
identifier in the Sub Project ID field. You can use the list of
values.
- Select a Voucher Type. The default Voucher Type of the user will be suggested.
- You have 2 options to finish the activity:
- Click OK to perform the transfer.
- Click Schedule to open the Create New Task Schedule
window that allows you to schedule the transfer to be performed
repeatedly. You can read more about setting up a schedule
here.