Setting Up Cash Flow

Unifier Cash Flow module allows you generate and compare Baseline, Actuals (or "spends"), Portfolio, Forecast, Derived, and Custom curves in a project or CBS code-based shell. The curve detail levels include:

At runtime, the user can view the cost distribution information by CBS code from a schedule sheet see Create a Cash flow curve from a Schedule Sheet.

To facilitate creation of cash flow curves and roll up of data to program and company cash flow worksheets, you can create the following in Administration Mode (Admin mode):

See Also

Setting up the Cost Manager

Cost Manager Overview

Cost Managers and Unifier Functional Areas

About Currencies and Exchange Rates

Setting up Cost Sheets

Setting up a Company Accounts Sheet

Setting up the Funding Manager

Setting Up Schedule of Values (SOV)

Setting up the Rules Engine

Setting up a Generic Cost Manager

In This Section

How to Set Up Cash Flow

Grant Yourself Permissions to Configure Cash Flow

Create a Cash Flow Distribution Profile

Delete a Distribution Profile

Edit a Distribution Profile

Creating Cash Flow Data Sources

Delete a Cash Flow Data Source

Edit a Cash Flow Data Source

Distributing Cost Data

Cash Flow Curve Templates

Create a Template for a Cash Flow Curve

Create Roll-up Templates

Granting Cash Flow User Mode Permissions



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Last Published Friday, April 9, 2021