Viewing and Loading Estimate to Complete Transactions

Page Name

Definition Name

Usage

Installation Options - Project Costing Integration Page (Set up Program Management Estimate to Complete)

INSTALLATION_PCINT

Select the analysis types for transactions.

Load Estimate to Complete Page

RUN_PGM_ETC_LOAD

Run the Load Estimate to Complete application engine to load the estimate to complete transactions into the Project Transactions table.

Project Valuation Page

PC_PRJ_ANALYTICS

View the estimate to complete transactions at the project and activity level using the valuation template of your choice.

The Load Estimate to Complete Application Engine process (PGM_ETC_LOAD) creates estimate to complete rows in the Project Transaction table (PROJ_RESOURCE). The system uses the estimate to complete data for earned value reporting and project valuation reporting.

To calculate the estimate to complete values, the Load Estimate to Complete process multiplies the remaining work by the cost rate and then spreads it evenly across the remaining periods of the activity. The process uses the calendar that is associated with the active cost budget plan for the project. If no active cost budget plan exists, the process uses the default budget calendar from the Project Costing Installation Options page. The date range that the process uses is from the current date to the end date of the activity. If the end date of the activity has passed and work still remains for that activity, the process loads the entire estimate to complete amount into the current period and performs no spreading.

An activity can have multiple estimate to complete rows if more than one currency code is used on the activity resource list. The process summarizes the rows by activity and currency code and then calls the Transaction Loader Application Engine process (PC_INTFEDIT) to load the rows into the Project Transaction table.

You must manually initiate or schedule the Load Estimate To Complete process as often as you require time reports to be submitted. For example, if you require weekly time reports, you should approve time reports weekly, and run the process after you approve the time reports. This process cannot be initiated automatically because users may adjust the remaining work amount after the Expenses to Project Costing Application Engine process (PC_EX_TO_PC) loads time data from PeopleSoft Expenses. After you run the Load Estimate To Complete process for a business unit, and optionally for a project, the estimate to complete rows remain in the Project Transaction table until you run the Load Estimate To Complete process again for that business unit and project.

Use the Installation Options - Project Costing Integration page (INSTALLATION_PCINT) to select the analysis types for transactions.

Navigation:

Setup Financials/Supply Chain > Install > Installation Options > Project Costing Integration

Use this page to define the Cost Estimate to Complete and Bill Estimate to Complete analysis types. Users enter the analysis types that the system assigns to rows that are created when activity remaining work is multiplied by the activity cost rate and activity bill rate. PeopleSoft Program Management delivers these analysis types for this purpose:

  • ETC: Cost estimate to complete.

  • ETB: Bill estimate to complete.

These analysis types are default values and can be changed by users.

See Understanding Transaction-Related Control Data.

Use the Load Estimate to Complete page ( RUN_PGM_ETC_LOAD) to run the Load Estimate to Complete application engine to load the estimate to complete transactions into the Project Transactions table.

Navigation:

Program Management > Program Tools > Load Estimate To Complete > Load Estimate to Complete

This example illustrates the fields and controls on the Load Estimate to Complete page. You can find definitions for the fields and controls later on this page.

Load Estimate to Complete page

Field or Control

Description

Business Unit

Enter the business unit for which to calculate the estimated remaining cost or billing amounts.

Project

Enter the project ID to run this process for only one project. You can only choose from active projects.

Cost Estimate to Complete

Select to enable the process to reload the rows with the analysis type of ETC in the Project Transaction table.

Bill Estimate to Complete

Select to enable the process to reload the rows with the analysis type of ETB in the Project Transaction table.

Use the Project Valuation page (PC_PRJ_ANALYTICS ) to view the estimate to complete transactions at the project and activity level using the valuation template of your choice.

Navigation:

Project Costing > Interactive Reports > Project Valuation Report

After estimate to complete transactions are loaded into the Project Transaction table, you can view them on the Project Valuation page using the appropriate valuation template that has been set up by the system administrator. The cost estimate to complete transactions appear as transactions with the analysis type that is specified on the Installation Options - Project Costing Integration. The default analysis type setting for cost estimate to complete is ETC and the default for bill estimate to complete is ETB.

See Setting Up and Using Project Valuation.