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Processing Adjustments

After you have performed the adjustment actions, you need to run the appropriate processes to process the adjustments.

The table below notes what processes to run to process each adjustment action.

Adjustment Action Distribute Costs Generate Draft Revenue Generate Draft Invoice
Correct Approved Expenditure Item
Billable to Non-Billable
Non-Billable to Billable
Capitalizable to Non-Capitalizable    
Non-Capitalizable to Capitalizable    
Billing Hold    
One-Time Hold    
Release Hold    
Recalculate Burden Cost
Recalculate Raw Cost
Recalculate Revenue  
Recalculate Cost/Revenue
Change Comment      
Split
Transfer

You can use the Submit Request window to run the appropriate the processes for your project only.

You can also mark items for adjustment and allow the items to be automatically processed the next time you distribute costs, generate draft revenue and invoices by running the appropriate processes for all projects.

See Also

Submitting Requests


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