Reviewing and Adjusting Project Costs

Project managers (PMs) need the ability to review and adjust project costs before a bill is generated, and a history of any adjustments must be maintained in order to reconcile actual and charged amounts. The project manager review functionality provides a flexible tool that enables a PM to search on a number of fields, make necessary adjustments, and mark reviewed transactions.

This chapter provides an overview of the PM review process and discusses how to:

Click to jump to parent topicUnderstanding the Project Manager Review Process

By using the Project Manager Review component (PC_PM_REVIEW) project managers can review, adjust if necessary, and approve transactions before the transactions are sent through the billing process. If project managers determine that an adjustment is needed, they can modify the amount, quantity, project-related ChartFields (business unit, project, activity, type, category, and subcategory) and billable status. Then the project accountant assigns the general ledger-related ChartField values and determines if the adjustment will generate accounting entries in the Accounting Line for Contracts and Project Costing table (CA_ACCTG_LN_PC) to send to PeopleSoft General Ledger.

You can select the Review Required for Billing option on the Installation Options - Project Costing Integration page to activate a mandatory review process for the entire system. By using this option, a project transaction must be reviewed before it can be billed. With this option enabled, the Process Project Accounting Application Engine process (PSA_ACCTGGL) generates rows only from transactions with a PM_REVIEWED field value of Yes (reviewed), and ignores transactions that have not been reviewed. You can override the Review Required for Billing option at the project type level and for individual projects.

If you select the Review Required for Billing option at the installation level, you can specify the Auto Review for Billing option for a project type. This automatically marks all transactions for projects with that project type as reviewed, and bypasses the requirement for a project manager review. You can also select the Auto Review for Billing option on the Project Costing Definition page for specific projects.

During the process of reviewing project cost transactions, project managers can adjust the transactions prior to billing. The review functions that project managers can perform are:

Making adjustments by using the Project Manager Review component is a two-step process. First, the project manager accesses the Transaction Adjustment page from the Manager Transaction Review component (PC_PM_REVIEW) to make project-related adjustments, including adjustments to quantities, amounts, and project-related ChartField information. Second, the project accountant accesses the Adjustments page (Project Costing, Accounting, Adjustments) to review the adjustments made by the project manager, assign GL-related ChartField information, and determine whether to generate journal entries.

Adjusting a Single Transaction

To adjust ChartField values for a single transaction:

  1. Select the transaction row that you want to adjust on the Manager Transaction Review page.

    Alternatively, select the transaction row on the Transaction Adjustment page in the Transaction Adjustment component.

  2. Choose the adjustment type on the Choose type of adjustment page.

    The Transaction Adjustment page appears showing the ChartField values in the New Transaction Lines scroll area from the original transaction.

  3. Enter new values as required in the New Transaction Lines scroll area.

  4. Remove values to leave fields empty in the new transaction.

  5. Click Finish to review the changes and compare the original and new transactions.

Adjusting Multiple Transactions

To adjust multiple transactions:

  1. Select more than one transaction row that you want to adjust on the Manager Transaction Review page.

    Alternatively, select more than one transaction row on the Transaction Adjustment page in the Transaction Adjustment component.

    Note. By using the Manager Transaction Review page, you can review and adjust multiple transactions from different activities in a project at the same time. By using the Transaction Adjustment page, you can review and adjust multiple transactions from a single project activity.

  2. Choose the adjustment type on the Choose type of adjustment page.

    The Transaction Adjustment page appears showing only the project business unit, project, activity, and other default values in the New Transaction Lines scroll area. ChartField values from the original transactions do not appear by default in the New Transaction Lines scroll area when you adjust multiple transactions.

  3. Enter new values as required in the New Transaction Lines scroll area.

    Values that you enter in the New Transaction Lines scroll area apply to all transactions that appear in the Selected Project Transactions for Adjustment grid. Fields that you do not change on this page (fields that you leave blank) retain their original values in the adjusted transactions.

  4. Click Finish to review the changes and compare the original and new transactions.

Example of Adjusted Transaction Rows in the Project Transaction Table

Assume that PeopleSoft Project Costing receives a time entry transaction from the PeopleSoft Expenses system for a quantity of 10 hours. The transaction contains a TLX analysis type. Then you run the Pricing process, which uses the original transaction and the employee's cost rate (180 USD) and bill rate (290 USD) to create an actual cost row and billing row. The resulting rows in the Project Transaction table (PROJ_RESOURCE) are:

Analysis Type

Description

Quantity

Amount

TLX

Original transaction

10 MHR (work hours)

 

ACT

Transaction priced for costing

10 MHR

1,800 USD

BIL

Transaction priced for billing

10 MHR

2,900 USD

During the project manager review, you discover that the transaction quantity should have been entered as 8 MHR. The first step is to create an adjustment row by using a transaction adjustment type of Adjust Amounts and enter a new quantity of 8 USD. When you finalize the adjustment, the system creates a transaction with a quantity of −2 MHR and sends the adjustment row through the Pricing process. The resulting rows in the Project Transaction table are:

Analysis Type

Description

Quantity

Amount

TLX

Original row

10 MHR (work hours)

 

ACT

Transaction priced for costing

10 MHR

1,800 USD

BIL

Transaction priced for billing

10 MHR

2,900 USD

TLX

Adjustment

−2 MHR

 

ACT

Adjustment priced for costing

−2 MHR

−360 USD

BIL

Adjustment priced for billing

−2 MHR

−580 USD

The second step in this adjustment process is for the project accountant to use the Adjustments page to enter any necessary changes to GL-related ChartFields, and to determine if journal entries should be created and sent to the Accounting Line for Contracts and Project Costing table for processing to GL. If the GL distribution status on the adjusted transaction row is Ignore, no journal entries are sent to the Accounting Line for Contracts and Project Costing table. If the GL distribution status is Not Done, the journal entries are sent to the Accounting Line for Contracts and Project Costing table.

Click to jump to parent topicSummarizing Transactions for Project Manager Review

To define templates that are used to summarize transactions for project manager review, use the PM Summary Template component (PC_PM_SUMM_TMPL).

This section discusses how to:

Click to jump to top of pageClick to jump to parent topicPages Used to Summarize Transactions for Project Manager Review

Page Name

Definition Name

Navigation

Usage

Manager Transaction Review

PC_PM_SRCH_DLG

Project Costing, Interactive Reports, Manager Transaction Review, Manager Transaction Review

Specify search criteria to create a list of transactions for project manager review.

Select Project Activities

PC_PM_SEL_ACTVS

Click the Select Project Activities link on the Manager Transaction Review page.

Specify project activities to include in the search criteria for review transactions.

Transaction Summary Template

PC_PM_SUMM_TMPL

Click the Transaction Summary Template link on the Manager Transaction Review page.

Select the fields by which transactions are summarized when they are displayed for project manager review.

Click to jump to top of pageClick to jump to parent topicSpecifying Transaction Search Criteria

Access the Manager Transaction Review page (Project Costing, Interactive Reports, Manager Transaction Review, Manager Transaction Review).

Select

Project managers enter search criteria to filter project transactions to review.

Select Project Activities

Click to access the Select Project Activities page, where you can select specific project activities as part of the search criteria.

Revenue Distribution Status

Select one of these values to limit the search to transaction rows with the selected revenue distribution status:

Create: Transaction rows that have been priced for revenue.

Distrib (distribute): Revenue transactions that have been sent to GL.

Generate: Revenue transactions where journal entries have been generated and written to the Accounting Line for Contracts and Project Costing table.

Ignore: Revenue transactions that will not be priced.

Not Done: Revenue transactions that are ready to be priced. This distribution status is typically set to N (not done) when a transaction is entered by using the Add Transactions page in PeopleSoft Project Costing and the transaction is eligible to be priced for revenue.

Billing Distribution Status

If you use this field as part of the search criteria, select one of these options:

Distribute: Transactions that have completed the billing process.

Ignore: Transactions that are not eligible to be priced for billing or are not part of the billing process.

Not Done: Transactions that are eligible to be priced for billing, but have not gone through the Pricing Application Engine process (PC_PRICING). This distribution status is typically set to N when a transaction is entered by using the Add Transactions page in PeopleSoft Project Costing and the transaction is eligible to be priced for billing. Additionally, when Project Costing imports a transaction from feeder systems such as PeopleSoft Time and Labor, the Application Engine that brings the cost transactions into Project Costing initially sets the distribution status to N. The Pricing process updates this status after the transaction is priced for billing.

Priced: Transactions that have gone through the Pricing process and have been priced for billing.

Unbillable: Transactions that do not qualify for billing.

Worksheet: Transactions that are currently in the billing worksheet.

View Type

Detail

Select this option for each detailed transaction row to appear on the Cost Review page.

Summary

Select this option and specify a summary template for transactions to appear in a summary format based on the fields that are selected on the summary template.

You can adjust transactions only in a detail view, not in a summary view.

Template ID

If you select the Summary option, you must select a template that defines how transactions are summarized.

Transaction Summary Template

Click to access the Transaction Summary Template page to add or modify templates.

Reviewed

All

Select to view all of the transactions that match the search criteria on this page.

Reviewed

Select to view only the transactions that match the search criteria on this page that the project manager previously reviewed.

Not Reviewed

Select to view only the transactions that match the search criteria on this page that the project manager has not reviewed.

Other Page Elements

Date Type

Select Accounting Date or Transaction Date to filter transactions by date. You must enter a date range in the From Date and Through Date fields if you select a date type.

Search

Click for the system to retrieve a list of transactions that match your search criteria. The Cost Review page automatically appears with the search results.

You can retrieve a maximum of 1,000 transactions on review pages in the Project Manager Review component.

Reset

Click to clear all field entries that are on the page.

Click to jump to top of pageClick to jump to parent topicSelecting Activities for Project Manager Review

Access the Select Project Activities page (click the Select Project Activities link on the Manager Transaction Review page).

This page lists the activities that are associated with the project that you selected on the Manager Transaction Review page.

Select or deselect the Select All option to include or exclude all activities that are in the list, or select up to 20 individual activities. The system uses the selected activities as part of the transaction search criteria.

Select the Select All icon to include all activities that are in the list. Optionally you can select up to 20 individual activities. The system uses the selected activities as part of the transaction search criteria.

Select the Clear All icon to deselect the check boxes, which excludes all activities that are in the list.

Manager Transaction Review

Click to return to the Manager Transaction Review page. On the Manager Transaction Review page, the first selected activity on the Select Project Activities page populates the Activity field, and the number of selected activities appears next to the Select Project Activities link.

Click to jump to top of pageClick to jump to parent topicSetting Up Summary Templates

Access the Transaction Summary Template page (click the Transaction Summary Template link on the Manager Transaction Review page).

Select the fields that the system uses to summarize the transactions for project manager review if you use this template. You can select a transaction summary template as part of the search criteria on the Manager Transaction Review page.

Click to jump to parent topicReviewing and Adjusting Project Cost Transactions

This section discusses how to:

Click to jump to top of pageClick to jump to parent topicPages Used to Review and Adjust Project Cost Transactions

Page Name

Definition Name

Navigation

Usage

Cost Review

PC_PM_SUMM_COST

  • Project Costing, Interactive Reports, Manager Transaction Review, Cost Review

  • Enter search criteria and click Search on the Manager Transaction Review page.

Review detailed or summarized project cost transactions based on the settings in the View Type group box on the Manager Transaction Review page.

Target Transactions Review

PC_PM_TARGET

  • Click the Target link on the Cost Review page General grid if you selected a View Type of Detail on the Manager Transaction Review page.

  • Click the Target link on the Summary Details Review page.

Review detailed project cost transaction information in a consolidated format.

Summary Details Review

PC_PM_SUMDTL

Click the Details link in the Summary Review grid on the Cost Review page if you selected a View Type of Summary on the Manager Transaction Review page.

Review summarized project cost transactions.

Choose type of adjustment

PROJ_RES_ADJ_TYPE

  • Select a transaction row in the Adjust column on the Cost Review page and click the Adjust button.

  • Select a transaction row in the Adjust column on the Summary Details Review page and click the Adjust button.

  • Project Costing, Transaction Definitions, Transaction Adjustment, Transaction Adjustment

    Select a transaction row on the Transaction Adjustment page and click the Next button.

Adjust the cost of a transaction during the review process.

Transaction Adjustment

PROJ_RES_ADJ_NEWCF

Click the Next button on the Choose type of adjustment page if you are adjusting project-related ChartFields.

Select ChartFields for the new transaction row that is created during the adjustment process.

Transaction Adjustment

PROJ_RES_ADJ_FINAL

  • Click the Next button on the Choose type of adjustment page if you are adjusting transaction quantity and amount only.

  • Click the Finish button on the Transaction Adjustment page if you are adjusting project-related ChartFields for a transaction.

Review and save the transaction adjustment.

Adjustments

PC_ADJ_ACCT_ASSGN1

Project Costing, Accounting, Adjustments, Adjustments

Project accountants search for adjustment rows to review and assign GL-related ChartField values as required.

Assign ChartFields

PC_ADJ_ACCT_ASSGN2

Click Assign ChartFields on the Adjustments page.

Project accountants assign GL-related ChartField values to adjustment rows and determine if the adjustments will generate accounting entries to send to PeopleSoft General Ledger.

Click to jump to top of pageClick to jump to parent topicReviewing Cost Transactions

Access the Cost Review page (Project Costing, Interactive Reports, Manager Transaction Review, Cost Review).

The system selects data for the Cost Review page by using the Manager Transaction Review - Cost analysis group (PMCST). If you select Detail in the View Type group box on the Manager Transaction Review page, transactions appear in the Detail Review grid on the Cost Review page in three views—General, Transaction Detail, and Contract Information.

General

Reviewed

Project managers select this check box when they have reviewed the transaction.

This field is not available for selection if any of the following situations exist:

  • The Billing Distribution Status field (BI_DISTRIB_STATUS) value for the row is D (distributed) or W (worksheet).

  • The GL Distribution Status field (GL_DISTRIB_STATUS) value for the row is G (generated) or D (distributed).

  • The system source is PRP, PRB, or PRC.

If a project manager review is required prior to billing, project managers must select this check box for a transaction before you can bill the transaction.

Adjust

Select this option and click Adjust to access the Choose type of adjustment page and adjust the transaction.

This field is not available for selection if any of the following situations exist:

  • The Billing Distribution Status field value for the row is D or W.

  • The GL Distribution Status field value for the row is G or D.

  • The Asset Management Distribution Status field value for the row is D, V, or P.

  • The system source is PRP, PRB, or PRC.

Target

Click to access the Target Transactions Review page, which contains the details of the actual project transaction as it is received from feeder systems. This field appears only if you select the Detail option in the View Type group box on the Manager Transaction Review page.

Details

Click to access the Summary Details Review page to review and adjust the details of summarized transactions. This field appears only if you select the Summary option in the View Type group box on the Manager Transaction Review page.

Transaction Detail

Select the Transaction Detail tab.

Billing Status

Select a billing distribution status of Billable or Nonbillable.

This field is not available for selection if any of the following situations exist:

  • The Billing Distribution Status field value for the row is D or W.

  • The GL Distribution Status field value for the row is G or D.

  • The system source is PRP, PRB, or PRC.

Contract Information

Select the Contract Information tab.

This page displays the analysis type, amount, and source for each activity. Contract information that is associated with each transaction appears on the page if you use the PeopleSoft Contracts application.

Summary Review

Summary transactions appear on the Cost Review page: Summary Review grid.

This page appears if you search for transactions by using the Summary option in the View Type group box on the Manager Transaction Review page.

Click to jump to top of pageClick to jump to parent topicReviewing Target Transactions

Access the Target Transactions Review page (click the Target link on the Cost Review page General tab if you selected a View Type of Detail on the Manager Transaction Review page).

Review detailed project cost transaction information in a consolidated format. This page is available only for detail transaction rows, and contains all transaction fields from the target transaction in a read-only format.

Click to jump to top of pageClick to jump to parent topicReviewing Summary Details

Access the Summary Details Review page (click the Details link in the Summary Review grid on the Cost Review page if you selected a View Type of Summary on the Manager Transaction Review page).

This page is available only for summary transaction rows. Project managers that search for transactions by using the Summary view type on the Manager Transaction Review page use this page to adjust individual transactions or mark them as reviewed.

Project managers that search for transactions by using the Detail view type on the Manager Transaction Review page use the Cost Review page to adjust individual transactions or mark them as reviewed.

Click to jump to top of pageClick to jump to parent topicAdjusting Cost Transactions

Access the Choose type of adjustment page (select a transaction row in the Adjust column on the Cost Review page and click the Adjust button).

Transactions that you select for adjustment appear on this page. You can adjust only detail transactions with analysis types that belong to the Transaction Adjustment analysis group (ADJST). You cannot adjust summary transactions.

Adjust Amounts Only

Select to modify only the quantity and amount for the selected transaction. The New Value group box appears for you to enter new quantity and amount values.

The new amount must possess the same sign as the current amount, and must be less than or equal to the current amount. An error message appears if you enter either of these conditions.

Click the Next button with this option to access the Transaction Adjustment page in read-only mode to view and finalize the transaction adjustment results.

Note. This option is not available if you access this page from the Transaction Adjustment page.

Adjust ChartFields Only

Select to modify only project-related ChartField values for the selected transactions. By using this option you can adjust more than one transaction at a time. Adjustments apply to the entire quantity or amount.

Click the Next button with this option to access the Transaction Adjustment page, where project managers can select new project-related ChartFields for the adjusted transaction line.

Adjust Amounts and ChartFields

Select to modify the quantity, amount, and project-related ChartField values for the selected transaction. The New Value group box appears for you to enter new quantity and amount values.

Note. Changes in quantity are always in the same unit of measure as the original transaction, and changes in amount are always in the same currency as the original transaction. This option allows adjustments to one transaction row at a time and is only available when adjusting a single transaction.

Click the Next button with this option to access the Transaction Adjustment page, where project managers can select new project-related ChartFields for the adjusted transaction line.

More info

Click to open the More group box and view information on adjustment types.

Next

Click to access the Transaction Adjustment page where the project manager can enter new transaction values and project-related ChartField values.

If the adjustment type is Adjust Amounts Only, click this button to access the final Transaction Adjustments page in read-only mode to view and finalize the transaction adjustment.

Click to jump to top of pageClick to jump to parent topicAdjusting Project-Related ChartFields

Access the Transaction Adjustment page to enter new data for the adjusted transaction lines (click the Next button on the Choose type of adjustment page if you are adjusting project-related ChartFields).

Project managers use this page to enter project-related ChartField values for the new transaction lines that are created when the transaction is adjusted.

If you are adjusting a single transaction, this page appears showing the ChartField values in the New Transaction Lines scroll area from the original transaction. Enter new values as required in the New Transaction Lines scroll area. Remove values to leave fields empty in the new transaction.

If you are adjusting multiple transactions, this page appears showing only the project business unit, project, activity, and other default values in the New Transaction Lines scroll area. Values that you enter in the New Transaction Lines scroll area apply to all transactions that appear in the Selected Project Transactions for Adjustment grid. Fields that you do not change on this page (fields that you leave blank) retain their original values in the adjusted transactions.

Note. To delete a ChartField value and leave the field empty on transaction rows, you must use the Transaction Adjustment page for a single transaction. For example, assume that the original transaction has a department value of 123 and product value of 789, and you want to change the department to A64 with no product value. You must select only this transaction to adjust, which enables you to delete the product value in the New Transaction Lines scroll area.

Finish

Click to access the Transaction Adjustment page in read-only mode to view and finalize the transaction adjustment results.

Selected Project Transactions for Adjustment

Displays the transaction's original values.

When you click Finish, the final Transaction Adjustment review page appears in read-only format for you to review the changes. You can click the Back button to return to the Transaction Adjustment edit page and make further adjustments. The values that appear when you go back to the Transaction Adjustment edit page are based on the adjusted ChartField values. For example, assume that a transaction's original department value was 12000, and you adjust the value in the New Transaction Lines scroll area to 11000. After you click Finish to review the changes, if you click Back on the final Transaction Adjustment review page, the department value that appears on the Transaction Adjustment edit page is 11000.

Click to jump to top of pageClick to jump to parent topicFinalizing Adjustments

Access the final Transaction Adjustment page (click the Next button on the Choose type of adjustment page if you are adjusting transaction quantity and amount only or click the Finish button on the Transaction Adjustment page if you are adjusting project-related ChartFields for a transaction).

Review the ChartField values for the original, offset, and new transaction lines that result when the adjustment occurs.

Back

Click to return to the Transaction Adjustment page if the adjustment type is Adjust ChartFields Only or Adjust Amounts and ChartFields.

OK. Next Adjustment

Click to accept the changes and return to the Choose type of adjustment page to make another adjustment.

Cancel this Adjustment

Click to return to the Choose type of adjustment page where you can select a different adjustment type.

Save

Click to store the adjustment and make it eligible for Journal Generator processing.

Note. The project accountant can use the Adjustments page, if required, to enter GL-related ChartField information and determine if the adjustment will be used to create GL journal entries.

Click to jump to parent topicReviewing Project Billing Transactions

This section discusses how to:

Click to jump to top of pageClick to jump to parent topicPages Used to Review Project Billing Transactions

Page Name

Definition Name

Navigation

Usage

Billing Review

PC_PM_SUMM_BILL

Project Costing, Interactive Reports, Manager Transaction Review, Billing Review

Review detailed or summarized project billing transactions.

Source Transactions Review

PC_PM_TARGET

Click the Source link on the Billing Review page.

View details of a source transaction in a consolidated format.

Click to jump to top of pageClick to jump to parent topicReviewing Billing Transactions

Access the Billing Review page (Project Costing, Interactive Reports, Manager Transaction Review, Billing Review).

The system selects data for the Billing Review page by using the Manager Transaction Review - Billing analysis group (PMBIL). Transactions appear in the Detail Review grid on the Billing Review page in three views—General, Transaction Detail, and Contract Information.

Each view displays the Reviewed, Activity ID, and Analysis Type fields, in addition to fields that are unique to each view.

Reviewed

Displays a check mark to indicate that the project manager has reviewed the transaction. Selected transactions do not appear on future searches in the Project Manager Review component.

If the Review Required for Billing option is activated, this field must be selected before the transaction can be billed.

Source

Click this link to access the Source Transactions Review page, which displays the details of the source transaction in a consolidated grid.

Streamlined Billing

Streamlined billing is a series of processes that execute according to settings that are in the PeopleSoft Contracts bill plans that are associated with project billing transactions. At a minimum, billable lines are sent to the billing worksheet and are available for pro forma creation. If bill plan settings allow all processes to execute, billable lines are processed all the way to create a finalized invoice.

Click the Streamlined Billing button to create and schedule a run control for the Contracts Billing Interface Application Engine process (CA_BI_INTFC) in the PeopleSoft Process Scheduler. Depending on the bill plans, transaction processing may continue beyond the billing worksheet.

Note the following important characteristics of streamlined billing:

See Also

Streamlined Billing

Click to jump to top of pageClick to jump to parent topicReviewing Source Transactions

Access the Source Transactions Review page (click the Source link on the Billing Review page).

The selected transaction appears at the top of the page and the cost transaction from which the billing row was created appears at the bottom. Only one source transaction appears on the page.

Click to jump to parent topicReviewing Shared Project Transactions

This section discusses how to review shared transactions.

Click to jump to top of pageClick to jump to parent topicPages Used to Review Shared Project Transactions

Page Name

Definition Name

Navigation

Usage

Sharing Review

PC_PM_SUMM_SHAR

Project Costing, Interactive Reports, Manager Transaction Review, Sharing Review

Review detailed or summarized project-sharing transactions.

Source Transactions Review

PC_PM_TARGET

Click the Source link on the Sharing Review page.

View details of a source transaction for a shared cost row in a consolidated format.

Click to jump to top of pageClick to jump to parent topicReviewing Shared Transactions

Access the Sharing Review page (Project Costing, Interactive Reports, Manager Transaction Review, Sharing Review).

The system selects data for the Sharing Review page by using the Manager Transaction Review - Sharing analysis group (PMSHR). If you select Detail in the View Type group box on the Manager Transaction Review page, transactions appear in the Detail Review grid on the Sharing Review page in three views—General, Transaction Detail, and Contract Information.

Click to jump to parent topicReviewing Revenue Transactions

This section discusses how to:

Click to jump to top of pageClick to jump to parent topicPages Used to Review Revenue Transactions

Page Name

Definition Name

Navigation

Usage

Revenue Review

PC_PM_SUMM_REV

Project Costing, Interactive Reports, Manager Transaction Review, Revenue Review

Review detailed or summarized revenue transactions.

Source Transactions Review

PC_PM_TARGET

Click the Source link on the Revenue Review page.

View details of a source transaction for a revenue row in a consolidated format.

Click to jump to top of pageClick to jump to parent topicReviewing Revenue Transactions

Access the Revenue Review page (Project Costing, Interactive Reports, Manager Transaction Review, Revenue Review).

This page appears if there are rows for the project in the Project Transaction table with an analysis type that belongs to the Government Contracting System Revenue analysis group (PSRV2).

Transactions appear in the Detail Review grid on the Revenue Review page in three views—General, Transaction Detail, and Contract Information.

Each view displays the Reviewed check box and the Activity ID, Analysis Type, and Amount fields, in addition to fields that are unique to each view.

Click the Source link to access the Source Transactions Review page.