Processing Revenue Recognition

This chapter provides an overview of revenue plan processing and discusses how to:

Click to jump to parent topicUnderstanding Revenue Plan Processing

PeopleSoft Contracts uses three Application Engine processes to structure PeopleSoft Contracts revenue information for entry into your PeopleSoft General Ledger system. When you run the deferred revenue, amount-based revenue, and rate-based revenue (Accounting Rules Engine) processes, the system places entries in the historical accounting tables and in either the CA_ACCTG_LINE or CA_ACCTG_LN_PC tables to be sent to PeopleSoft General Ledger. PeopleSoft Contracts uses two accounting entry tables because the data from PeopleSoft Project Costing is formatted differently than the data from PeopleSoft Contracts. This table shows which Application Engine process to use for each price type:

Price Type

Revenue Method

Revenue Application Engine Process

Revenue Source System

Amount

Percent Complete

Apportionment

Milestone

CA_LOAD_GL1 (Amount-based Revenue process)

PeopleSoft Contracts for amount-based revenue.

Percent

Percent Complete

Apportionment

Milestone

CA_LOAD_GL1 (Amount-based Revenue process)

PeopleSoft Contracts for amount-based revenue.

Rate

As-Incurred

PSA_ACCTGGL (Accounting Rules Engine - rate-based revenue process)

PeopleSoft Project Costing for rate-based revenue.

Recurring

Billing Manages Revenue

Not applicable

PeopleSoft Billing for recurring revenue.

After you have run these Application Engine processes, you must run the Journal Generator process to load these accounting entries into PeopleSoft General Ledger.

This section discusses:

Click to jump to top of pageClick to jump to parent topicThe Deferred Revenue Process (CA_LOAD_DEF)

If you select the deferred revenue option for any amount-based contract lines on your contract, you must run the Deferred Revenue process (CA_LOAD_DEF) to book deferred revenue and the offsetting unbilled accounts receivable (AR) for fixed-amount contract lines when PeopleSoft Contracts is managing revenue. The process picks up the CA_DETAIL amounts for active contracts and creates rows in the CA_ACCTG_LINE table debiting unbilled AR and crediting deferred revenue. You can control which contract lines (CA_DETAIL) are picked up by specifying the deferred revenue accounting date on the contract lines and then defining the accounting date range to be picked up on the process run control page.

The Deferred Revenue process also looks for any reallocation or amount changes made after the contract has been picked up and originally run through this process. Additionally, when the PeopleSoft General Ledger currency is different from the contract currency, the process locks the exchange rate used for any multicurrency entries so that amortization of deferred revenue is done using the same exchange rate that the Deferred Revenue process used to initially populate the deferred revenue.

At this point, the program writes the currency-converted data to the CA_ACCTG_LINE table, and sets the deferred revenue processing flag for the processed contract lines from N to Y.

Click to jump to top of pageClick to jump to parent topicThe Amount-based Revenue Process (CA_LOAD_GL1)

The Amount-based Revenue process writes revenue to CA_ACCTG_LINE for amount- and percent-based contract lines that are tied to Percent Complete, Milestone, and Apportionment revenue plans. The process marks the revenue entries with a General Ledger distribution status of N (not distributed). When you run the Amount-based Revenue process, the system scans all revenue plans with a status of Ready or In Progress and picks up all revenue plan events with an event status of Ready or Reversal Initiated, as well as all amendment generated events. The system picks up events in the current or prior accounting periods. Prior accounting periods are included because you may have placed some revenue plans or events on hold in previous periods and are now ready to process them.

Before running the Amount-based Revenue process, the system has already:

The system performs the previous steps automatically as you create your revenue plans. By having the accounting entries staged before the revenue processes are run, you can view them by using Preview Revenue.

The Amount-based Revenue process then:

Click to jump to top of pageClick to jump to parent topicThe Rate-based Revenue (Accounting Rules Engine) Process (PSA_ACCTGGL)

For rate-based revenue, the Accounting Rules Engine process (PSA_ACCTGGL) writes revenue to CA_ACCTG_LN_PC for rate-based contract lines that are tied to as-incurred revenue plans. The process picks up the undistributed PeopleSoft Project Costing PROJ_RESOURCE rows where the analysis types are defined to the PSREV or PSCST analysis group.

Warning! Rate-based revenue accounting comes from the accounting distribution set up on the Accounting Rules page. If you did not define any accounting rules for the PeopleSoft Project Costing ChartFields and business unit combinations for the transactions that you are processing, the rate-based revenue process does not generate any accounting rows.

The process:

  1. Creates the revenue entry and the offsetting entry to unbilled AR.

  2. Determines if the PeopleSoft General Ledger business unit of the debit and credit sides of an accounting entry differ, and, if so, creates interunit entries.

  3. Converts entries, if needed, from the transaction currency to the base currency of the primary PeopleSoft General Ledger currency, using either the accounting date or the transaction date as the currency effective date, based on the Currency Conversion Date option on the Installation Options - Contracts page, and populates the Foreign Amount, Foreign Currency, Base Amount, Base Currency, and Exchange Rate fields.

    Note. The GL_DISTRIB_STATUS on the CA_ACCTG_LINE and CA_ACCTG_LN_PC tables are initially populated by G when the revenue is in process. When the revenue is final and posted in GL, the GL_DISTRIB_STATUS in both tables is populated by D (distributed).

  4. Updates the revenue recognition event status from Ready to In Progress for applicable revenue recognition events.

  5. Updates applicable revenue plan statuses to In Progress.

Note. The PeopleSoft Project Costing Pricing Application Engine (PC_PRICING) generates eligible rows for projects/activities linked to contract lines. The rate-based revenue process (Accounting Rules Engine − PSA_ACCTGGL) picks up these rows to create journal entries in PeopleSoft General Ledger based on the schedule defined on as-incurred revenue plans. The PC_CA_TO_PC process picks up the revenue accounting rows for amount-based contract lines with associated projects/activities. These amount-based revenue rows in PeopleSoft Project Costing are for project tracking and comparison purposes and are not sent to billing or the general ledger (GL).

See Also

Setting Up Accounting for Projects

Click to jump to top of pageClick to jump to parent topicThe Project Progress Process

The PeopleSoft system integrates with PeopleSoft Project Costing to eliminate duplicate data entry for revenue that is tied to percent complete plans. You can automatically populate the percent complete for revenue plans in PeopleSoft Contracts with a value generated in PeopleSoft Project Costing. This value comes from the project or project and activity combination in PeopleSoft Project Costing. You determine which auto populate method to use on the Revenue Plan page. After choosing an auto populate option, you can set up a run control that allows the processing of one or more plans at a time.

Note. You must have already linked your amount-based contract lines to a project or project and activity combination in order to have the project progress options available to you on the Revenue Plan page.

See Also

Project Progress

Processing Project Progress

Click to jump to top of pageClick to jump to parent topicJournal Generator and Update Processes

After running the Amount-based Revenue and Rate-based Revenue (Accounting Rules Engine) processes, you must run the Journal Generator and Update Journal Generator processes.

Journal Generator Process

The Journal Generator process picks up all account transactions in the CA_ACCTG_LINE and CA_ACCTG_LN_PC tables with a General Ledger distribution status of N (newly inserted) and creates journals for them. The Journal Generator process marks all CA_ACCTG_LINE and CA_ACCTG_LN_PC lines for which it has successfully created a journal line with a General Ledger status of D (distributed).

To run the Journal Generator process, you must have the PeopleSoft General Ledger accounting entry definitions and journal entry templates set up. The PeopleSoft system delivers the accounting entry definitions. There are two accounting entry definitions—one for each CA_ACCTG table, which you do not update. The PeopleSoft system also delivers these sample journal entry templates:

Define custom journal entry templates that are specific to your business requirements. On the Journal Generator Request page, specify the template that you want to run. Additionally, you can specify special journal entry templates for a specific accounting rule.

Note. Set up journal entry templates for each GL business unit before you process any PeopleSoft Contracts revenue transactions, including deferred revenue.

Note. When running the General Ledger Journal Generator process, you may run into performance degradation over time. Depending on the database platform, volume, and distribution of data, the correct index can speed processing greatly. You may want to create new indexes within the PeopleSoft General Ledger or PeopleSoft Contracts products to increase performance. In regards to the PeopleSoft Contracts product, the PS_CA_ACCTG_LN_PC table should be looked at for additional indexes. For further information on performance tuning the Journal Generator process, please see the Optimizing General Ledger Performance section in the PeopleSoft Enterprise General Ledger PeopleBook.

See Optimizing General Ledger Performance.

Contracts Journal Generator Update Process

The Contracts Journal Generator Update process makes the following updates for applicable revenue plans and events:

Note. The CA_LOAD_UPD process updates the GL distribution status to D (distributed) for the PROJ_RESOURCE rows associated with PeopleSoft Contracts revenue (CA_ACCTG_LN_PC table).

See Also

Using Journal Generator

Click to jump to top of pageClick to jump to parent topicStreamlined Revenue

Utilize the streamlined revenue options to process transactions from PeopleSoft Contracts to PeopleSoft General Ledger and back to PeopleSoft Contracts with one job. Set up the accounting definition defaults for the Journal Generator at the installation level on the Contracts Installation Options page.

The streamlined revenue job (CAREV) runs these processes together:

To activate streamlined revenue, select the Process Journal Entries check box on the Process Fixed Fee Revenue page or the Process Project Accounting page for amount-based and as-incurred revenue, respectively.

In addition to the streamlined revenue process outlined previously, you also have the option to select additional processes for the system to run in conjunction with the amount-based revenue process. On the amount-based run control page, if you select the Process Deferred Revenue, Process Milestones, or Process Project Progress check boxes, the system runs the selected processes prior to running the Amount-based Revenue process.

For more information about batch processing and using the Process Scheduler to personalize and streamline batch processing, see the Enterprise PeopleTools PeopleBook: PeopleSoft Process Scheduler.

See Enterprise PeopleTools PeopleBook: PeopleSoft Process Scheduler

Click to jump to parent topicPrerequisites

Before you can begin to process revenue with PeopleSoft Contracts, you need:

Click to jump to parent topicProcessing Deferred Revenue (CA_LOAD_DEF)

This section lists prerequisites and discusses how to process deferred revenue.

Click to jump to top of pageClick to jump to parent topicPrerequisites

You must have selected the Deferred Revenue option on the contract line. Only contract lines populated with a deferred revenue accounting date within the run control From/Through Date range are picked up by this process.

Click to jump to top of pageClick to jump to parent topicPage Used to Process Deferred Revenue

Page Name

Object Name

Navigation

Usage

Process Deferred Revenue

RUN_CA_LOAD_DFR

Customer Contracts, Schedule and Process Revenue, Process Deferred Revenue

Run this process to book deferred revenue for amount-based contract lines when PeopleSoft Contracts is managing revenue. The process picks up the CA_DETAIL amounts for active contract lines in active contracts, and creates rows in the CA_ACCTG_LINE table debiting unbilled AR and crediting deferred revenue.

Click to jump to top of pageClick to jump to parent topicProcessing Deferred Revenue

Access the Process Deferred Revenue page.

The tables updated by this process include: CA_AP_DFR, CA_AP_UAR, and CA_ACCTG_LINE.

Contract Options

Use the fields within this group box to filter the list of contracts on which this process runs. Filter by PeopleSoft Contracts business unit, contract type, contract classification, sold to customer, or contract number. When you leave a field blank, the system runs the process for all values for that field.

Revenue Options

From Date and Through Date

The system picks up all active amount-based contract lines in active contracts with deferred revenue accounting dates on or within the range that you specify for the from and through dates. You specify the deferred revenue accounting date for contract lines on the Contract - Lines page: Deferred Revenue tab. You can set up your contract so that the system populates this date with the date on the Contract - General page.

Note. You can skip this deferred revenue processing step by selecting the Process Deferred Revenue check box on the Amount-based Revenue run control page. Selecting this check box enables the system to automatically run the Deferred Revenue process prior to running the Amount-based Revenue process.

Click to jump to parent topicProcessing Amount-based Revenue (CA_LOAD_GL1)

This section discusses how to run the Amount-based Revenue process.

Click to jump to top of pageClick to jump to parent topicPage Used to Process Amount-based Revenue

Page Name

Object Name

Navigation

Usage

Process Fixed Fee Revenue

RUN_CA_LOADGL

Customer Contracts, Schedule and Process Revenue, Process Fixed Fee Revenue

Run this process to write contracts revenue to CA_ACCTG_LINE for events marked Ready. This process picks up amount- and percent-based contract lines that are assigned to percent complete, milestone, and apportionment revenue plans. The system sets the GL_DISTRIB_STATUS for lines that it writes to the CA_ACCTG_LINE table to G (generated).

Click to jump to top of pageClick to jump to parent topicRunning the Amount-based Revenue Process

Access the Process Fixed Fee Revenue page.

The tables updated by this process include: CA_AP_DST, CA_AP_DFR, CA_AP_UAR, CA_ACCTG_LINE, and CA_AP_EVENT.

Note. Before you run the Amount-based Revenue process, you must run the Deferred Revenue process if you selected the deferred revenue option for any applicable contract lines.

Before you run the Amount-based Revenue process, you may want to run the Process Milestones and Project Process processes to ensure that the system is picking up the most current milestone and percent complete event statuses.

If you select the Process Milestones, Process Project Progress, and Process Deferred Revenue check boxes in the Streamline Processing Options group box on this page, the system runs these processes for you automatically before running the Amount-based Revenue process.

Contract Options

Use the fields within this group box to filter the list of contracts on which this process runs. Filter by PeopleSoft Contracts business unit, contract type, contract classification, sold to customer, or contract number. When you leave a field blank, the system runs the process for all values for that field.

Revenue Options

GL Business Unit

Select a PeopleSoft General Ledger business unit to run this process for all contracts within a specific PeopleSoft General Ledger business unit.

Revenue Plan

Select a revenue plan to run this process for all events within a specific revenue plan.

Revenue Method

Select a revenue method to run this process for a specific revenue recognition method.

From Date and Through Date

The system picks up all active amount-based contracts with Ready events and with accounting dates on or within the range that you specify for the from and through dates. Specify the revenue accounting date for each revenue recognition event on the Revenue Plan page.

Streamline Processing Options

Process Milestones

Select this check box to set up the system to automatically run the Process Milestone process prior to running the Amount-based Revenue process.

Process Project Progress

Select this check box to set up the system to automatically run the Percent Complete Update process prior to running the Amount-based Revenue process.

Process Deferred Revenue

Select this check box to set up the system to automatically run the Deferred Revenue process prior to running the Amount-based Revenue process.

Process Journal Entries

Select this check box to set up the system to automatically run the Journal Generator and Retrieve GL Updates processes after running the Amount-based Revenue process.

Click to jump to parent topicProcessing Rate-based Revenue (PSA_ACCTGGL)

This section discusses how to run the Rate-based Revenue process.

Click to jump to top of pageClick to jump to parent topicPage Used to Process Rate-based Revenue

Page Name

Object Name

Navigation

Usage

Process Project Accounting

RUN_PSA_ACCTGGL

Customer Contracts, Schedule and Process Revenue, Process As Incurred Revenue

Run this process to write revenue for PeopleSoft Project Costing to CA_ACCTG_LN_PC. This process picks up rate-based contract lines assigned to as-incurred revenue plans. The system sets the GL_DISTRIB_STATUS for lines that it writes to the CA_ACCTG_LN_PC table to D (distributed).

Click to jump to top of pageClick to jump to parent topicRunning the Rate-based Revenue Process

Access the Process Project Accounting page.

See Processing Transactions Using Accounting Rules.

Click to jump to parent topicUpdating Revenue Recognition Statuses

This section discusses how to update the GL.

Click to jump to top of pageClick to jump to parent topicPage Used to Update Revenue Recognition Statuses

Page Name

Object Name

Navigation

Usage

Retrieve GL Updates

RUN_CA_LOAD_UPD

Customer Contracts, Schedule and Process Revenue, Retrieve GL Updates

Run this process after you have run Journal Generator. When Journal Generator completes, it sets the GL_DISTRIB_STATUS in CA_ACCTG_LINE and CA_ACCTG_LN_PC from G (generated) to D (distributed). The Journal Generator Update process then updates the status of your revenue plan events to Completed and updates the GL_DISTRIB_STATUS of the applicable revenue transactions in PeopleSoft Project Costing PROJ_RESOURCE to D. This process also updates Reversal In Progress events to Reversed.

Click to jump to top of pageClick to jump to parent topicUpdating the GL

Access the Retrieve GL Updates page.