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Commitments/Receivables

 

 

 

 

 

Commitments may represent material orders or subcontracts for which firm amounts (in currency) have been committed by an organization to another. Typically, Commitments are registered in the system using purchase orders.

Commitment management is one of the key aspect in Project management, particularly in the case of managing sub-contractors. The terms and conditions of the work or activity are always mentioned in the commitment, based on which the supply / service is governed. Project cash out flow is to be made in consideration with the commitments the projects makes with the subcontractors or vendors. Changes against a commitment are recorded by Change orders which also form a key aspect in Commitment management.

Viewing commitment details

Commitments details are displayed in Commitment tab in the Cost module. The cumulative amount of commitments against each leaf level cost code and the amounts correspondingly rolled up to the parent levels are displayed here – in the original order in which they are created.

To view commitment details

1.On the Cost window click the tab Commitments/Receivables.


 

Commitment window is displayed. Here details of all the created commitments will be displayed.

Figure: Viewing commitment details


 

Creating Commitments

Commitments are created from the commitment window.

To create a commitment

1.Select the category as Commitment

2.On the tool bar click Commitments

3.On the menu displayed click Create Commitment.

Figure: Creating Commitments

Cost View window is displayed. Cost View consists of three tabs, Cost Information, Item Details and Attachments. Cost Information is arranged under two different sections, Budget Details and Commitment Details.

Figure: Commitment Details window

3.On the Budget Details window enter values for the following fields. Additional information can be viewed by expanding the section Additional Budget Details.

#

Item

Description

1

COST CODE

Click the browse button to select a Cost Code. On clicking the browse button, all the codes assigned in the project will be listed in the Cost Code window. Select a code from the list.

2

CATEGORY

Category is displayed as Commitment.


 

LINE ITEM NO

Click the browse button to select a Line Item Number. Line Items filtered based on Cost Code is displayed here. Select a Line Item.

3

LINE ITEM DESCRIPTION

Based on the Line Item selected, value for this field is filled in. This property is displayed under the section Additional Budget Details.

4

BUDGET QUANTITY

Quantity in the budget line item is displayed. This field is non-editable. Based on the Line Item selected, value for this field is filled in. This property is displayed under the section Additional Budget Details.

5

BUDGET RATE

Rate defined for the budget line item is displayed here. This field is non-editable. Based on the Line Item selected, value for this field is filled in. This property is displayed under the section Additional Budget Details.

6

BUDGET TOTAL

Total amount of Budget Line Items is displayed here. This field is non-editable. Based on the Line Item selected, value for this field is filled in. This property is displayed under the section Additional Budget Details.

7

COMMITMENT TO GO

The remaining amount for which PO for commitment is to be released is displayed here. The value is the difference of Budget amount for the commitment item and the sum of commitment amounts against the line item. This field is non-editable. Based on the Line Item selected, value for this field is filled in. This property is displayed under the section Additional Budget Details.

8

PROJECTED TO GO

This  value is calculated by the system. Based on the Line Item selected, value for this field is filled in. This property is displayed under the section Additional Budget Details.

4.On the Commitment Details section enter values for the following fields. Additional details can be viewed by expanding the section Additional Commitment Information.

#

Item

Description

1

REFERENCE NUMBER

The value for this field is generated automatically.

2

TYPE

Select a value from the drop-down list. In the list types available are PO and Sub Contracts. By default the value displayed is PO.

3

ISSUED TO

Click the browse button to select a Vendor. Vendors window is displayed with a list of vendors. Select a vendor from the list.

4

CHANGE ORDER

A commitment may be created newly or based on an Approved Commitment change order. To create a Commitment from a change order click on the ellipse button.

Search Change Order window is displayed.

All the Approved Change Orders filtered by Project and the selected Line item will be displayed.

Select an approved change order based on which a commitment is to be created.

5

COMMITMENT DESCRIPTION

Enter a description for the commitment.

6

PO NUMBER

Enter the PO Number of the commitment.

7

PAYMENT DAYS

Enter the number of days after which a payment will be released after the approval/certification. This is a mandatory field.

8

QUANTITY

Enter a value for the quantity of commitment created. Quantity in the Commitment may be greater or lesser than the quantity specified in the Budget Line Item. This is because the Commitment quantity is the actual quantity. This will have no impact on the Budget Line Item but will have impact only on the actuals (profitability of the Project).

9

RATE

Rate of the Quantity of the Commitment. By default this value will be the value provided in the Budget Rate and user may modify this value

10

CURRENCY

The PO/ sub contracts may be in a currency different form that of base currency (Project currency), in such case the commitments are created in the currency on which the PO/ Sub Contracts are issued.

Select a currency from a drop-down list.

11

CONVERSION RATE

Enter a conversion rate for the currency. This property is displayed only when the section Additional Commitment Information is expanded.

12

CONVERSION DATE

Current date is displayed here. This can be modified. This property is displayed only when the section Additional Commitment Information is expanded.

13

PR VALUE

PR value specified in the budget line item against which the commitment is created is displayed here. This value will be displayed only when the budget line item is selected. If no such value exist user may type in a value. This property is displayed only when the section Additional Commitment Information is expanded.

14

PR NUMBER

PR also has a unique number generated in format followed by organizations. This unique number is used to identify the PR. Type in a value. This field is editable, and user may modify this value if required. This property is displayed only when the section Additional Commitment Information is expanded.

15

CREATED BY

Name of the user (logged in user) who created the committed cost is displayed here. This property is displayed only when the section Additional Commitment Information is expanded.

16

CREATED ON

Current date is displayed here. The date can be modified by  the user. Date greater than current date is not permitted here. This property is displayed only when the section Additional Commitment Information is expanded.

17

TOTAL AMOUNT

Total amount in project currency is displayed here. The value can be modified. Currency is also displayed alongside with the currency. This property is displayed only when the section Additional Commitment Information is expanded.

18

AMOUNT (BASE CURRENCY)

Here product of total amount and conversion rate is displayed. This field is not editable. This property is displayed only when the section Additional Commitment Information is expanded.

19

VARIANCE AMOUNT

This is a system calculated value. This field will remain disabled in ‘Create’ operation and in ‘Edit’ mode. This property is displayed only when the section Additional Commitment Information is expanded.

20

PROJECTED COMMITMENT AMOUNT

It is the sum of total amount and variance amount. This property is displayed only when the section Additional Commitment Information is expanded.

4.After entering the values click Save.

5.Commitment created successfully message is displayed. Click OK to continue.

Created commitment is displayed under the Commitments tab.

Adding Attachments

Different reference documents can be added to the commitment.

To add reference documents

1.On the Commitment Details window select the tab Attachments.

Figure: Adding attachments

2.Place the mouse pointer over the option Add. The following options are displayed.

Existing Documents: Click this option, If documents created in SmartProject is to be added as attachments.

New Documents: Click this option, if a document is to be created in SmartProject and then added as attachment.

From Disk. Click this option if documents saved locally is to be added as attachment.

NOTE: These options are not explained in detail, assuming users are familiar with Document addition and Document Search operations.

Creating a commitment from BOQ

A commitment can be created from BOQ line items.

To create a commitment from BOQ

1.On the Create Commitment select the tab Item Details.

Figure: Adding BOQ Items

2.On the Item Details window click Add to add the BOQ items.

3. Search BOQ window is displayed. Select the required BOQ line items from the window.

4.Click OK. Selected BOQ Items are displayed in the grid.

5.After selecting the BOQ line items, switch back to the Cost Information tab.

6.Enter values for different properties in the Cost Information tab. This is explained in the preceding section.

NOTE: Since quantity and rate is fetched from the added BOQ line items, in the Commitment Details section the fields QUANTITY and RATE is disabled.

Figure: Creating commitment from BOQ line items

7.Click the button Fetch from BOQ.

Total amount of the commitment is fetched from the BOQ line items selected and is displayed in the field TOTAL AMOUNT.

8.Click Save to create the commitment.

Updating commitments

Commitment values can be edited. Editing is entirely different from change request operation.

To edit a commitment

1.Select a commitment and in the menu click Update.

Figure: Editing commitment details

Commitment Details window with entered values is displayed.

2.Edit the values and click Save.

The updated value will be reflected in the Commitment, Summary and Budget tab.

NOTE: Commitments do not have statuses, therefore those users having Edit commitment permission can Edit the commitment any time.

Importing, exporting and updating commitments

Commitment Summary can be created in an Excel template generated from the system and the details can be imported to the system. These options are available in the menu displayed on clicking Commitment Import/Export.

Figure: Import/Export operations

To generate an import template

1.On the menu click Generate Template.

2.An MS Excel template is generated. On the template enter values for creating a commitment and save the file.

Figure: Generated Excel template

Next step is to import the values to the system.

To import commitment details

1.On the menu click Import.

Bulk Import Wizard is displayed.

2.On the wizard click Choose file to select the import file.

File Selection window is displayed. Select the file from the stored location.

Figure: Bulk Import Wizard

3.Click Next.

The following window is displayed.

4.Click Finish. Import operation is completed successfully. Status of the operation is displayed in the Bulk Operations Log as shown in the following figure.

Imported details will be available in the Commitments window.

 

Exporting commitment details

Commitment details can be exported to an MS Excel sheet, values can be edited and the new values can be updated to the system.

To export commitment details

1.On the menu click Export.

2.Bulk Export Wizard window is displayed. Choose the mode of export by clicking the corresponding radio button.

Figure: Bulk Export Wizard window

3.Click Next.

4.Details are exported to an Excel file and the file is opened. Edit the details in the file and save the file.

To update commitment details

1.On the menu click Update.

WRENCH Bulk Update Wizard is displayed.

2.Click Choose file to select the updated excel file.

3.Click Next. The following wizard is displayed.

Figure: Bulk Import Wizard

4.Click Finish,

Status of the update operation is displayed in the Bulk Operations Log. Here the status is Success,

Figure: Bulk Operation Log window

Commitment Details

Entire commitment details and commitment operations will be available in the Cost View window on clicking the option Commitment Details from the Commitment menu.

Figure: Cost View window

On the window all the options explained in the previous sections will be available.

Defining payment schedule

The amount specified against each PO is not spent at once; but paid as per the “payment schedule specified in the PO. For a commitment, the cash outflow is normally available in the contract, which is known as “Payment Schedule." Facility to define Payment Schedule is available. Payment Schedule can be defined from the Commitments menu or by clicking the Payment Schedule hyperlink in the Commitment Details window in the edit mode.

To define payment schedule

1.On the Commitments tab select the commitment for which you want to define payment Schedule.

2.On the tool bar place the mouse pointer over the option Distribute.

3.On the menu click Details.

Payments Schedule window is displayed. If there any payment schedules created, they are displayed here.

3.On the tool bar click New.

Figure: Creating Payment Schedules

4.On the menu displayed click Payment Schedule.

Payment Schedule Details window is displayed.

Figure: Payment Details window

5.Properties displayed in the window is explained in the following table. Enter values for properties, wherever it is required.

#

Property

Description

1

COMMITMENT NUMBER

The commitment number is generated automatically.

2

PO NUMBER

PO Number available in the selected commitment is displayed here. This field is non-editable.

3

CATEGORY

Here category is displayed as Commitment.

4

PAYMENT SCHEDULE  DESCRIPTION

Enter a description for the payment schedule.

5

PAYMENT SCHEDULE %

Enter a value. The maximum value permitted is 100. If sum of the percentage value exceeds 100% a warning message is displayed.

6

PAYMENT DAYS

Payment days available in the commitment is displayed here. This field is non-editable.

7

SCHEDULE CODE

Click the browse button to select a Schedule Code. Search Task window is displayed. All the tasks having schedule codes available in the rules will be displayed. Select a task.

8

TASK CODE

Click the browse button to select a Task Code. Search Task window is displayed. All the tasks with task codes are displayed. Select a task from the list.

9

TOTAL AMOUNT

Total Amount is displayed here. The value displayed here cannot be edited.

10

VOWD %

Specify the  VOWD% or conversion factor.

11

BUDGET LINE ITEM

Click the browse button to specify a budget line item against a payment schedule. On clicking the browse button, Line Item Details window is displayed. Select the line item from the window.

12

COST CODE

If the budget line item is specified against a BOQ line item, then the cost code associated with the budget line item is displayed in the field COST CODE.

After entering values for the properties mentioned in the previous table, enter certification details. Certification denotes that an activity is completed, and payment may be released. But the payments release is based on the payment days stipulated on which the payment will be made.

6.Enter Certification Information Values which is explained in the following table.

#

Property

Description

1

PLAN START

Enter the plan start date and time.

2

PLAN FINISH

Enter the plan finish date and time.

3

FORECAST START

Enter the forecast start date and time.

4

FORECAST FINISH

Enter the forecast finish date and time.

Fetch Plan and Forecast dates: Plan and Forecast dates can also be fetched.

On clicking the option ‘Fetch Plan and forecast date’, then depending on the Task code or Schedule code assigned to the payment schedule, the Planned start, planned finish, forecast start and forecast finish dates will be fetched to the corresponding planned start, planned finish, forecast start and forecast finish date of the payment terms.

If Schedule codes are assigned against the Rules of a Rule set assigned to the tasks and value is provided in Schedule code, then dates will be fetched from the rules instead of the schedules. However, for a rule with no finish dates, only planned and forecast finish date will be fetched and the Planned and forecast start date will remain blank.

If user has selected a rule and a task in the fields Schedule code and task code respectively, and then click on ‘Fetch plan and forecast date’, then system fetches the dates from rules instead of task schedule and update the plan and forecast dates of the payment term. This is because, the dates in rules are the further break down of the dates provided in the schedules, hence rule date may be more appropriate.

5

PLAN AMOUNT

Enter the plan amount.

6

FORECAST AMOUNT

Enter the forecast amount.

7

ACTUAL CERTIFICATION

Actual certification date is the date on which the payment terms is completed. Enter actual certification date.

This value may also be fetched from the task based on the task code assigned to the Payment term or the schedule code. On clicking the button Fetch Actual,  the actual finish date from the task will be fetched and the date will be updated against the ‘Actual Certification date’.

8

ACTUAL AMOUNT

Enter the actual amount.

9

VOWD AMOUNT

This is a system calculated value.

Spent Information: Certification details of a payment schedule do not imply that the actual payment is done. The actual payment will be done after the days mentioned in the payment days.

7.Enter certification information values, which is explained in the following table.

#

Property

Description

1

PLAN

Plan Finish Date is displayed here. If any payment days is defined in the commitment, this will be added to the Plan Finish Date.

2

FORECAST

Forecast Finish Date is displayed here. If any payment days is defined in the commitment, this will be added to the Forecast Finish Date.

3

ACTUAL

Actual Finish  Date is displayed here. If any payment days is defined in the commitment, this will be added to the Actual Finish Date.

4

AMOUNT

Enter the amount.

8.After entering the values click Save.

9.Payment Term created successfully message is displayed. Click OK to continue.

Created Payment Term is displayed in the Payment Terms window.

Distributing Payment Schedules

Payment terms created for the commitment may be distributed across a specified time period.

To distribute payment Schedules

1.Select a single payment schedule.

2.On the tool bar click Distribute.

 Payment Schedule Distribution window is displayed.

Figure: Distribute Payment Schedule window

Elements in the window is explained in the following sections.

Details regarding the payment schedule can be entered in PAYMENT SCHEDULE DETAILS section, they are explained in the following table.

#

Property

Description

1

PAYMENT SCHEDULE DESCRIPTION

Payment schedule description is displayed here.

2

PAYMENT SCHEDULE AMOUNT

Payment schedule amount is displayed here.

3

CURRENCY

Currency is displayed here.

Distribution dates can be entered under the section DISTRIBUTION SCHEDULE, they are explained in the following table.

#

Property

Description

1

FROM DATE

Enter the starting date of the payment schedule.

2

TO DATE

Enter the starting date of the payment schedule.

3

DISTRIBUTION INTERVAL

Select the interval to be used for constructing the payment schedule. Options available are Weekly and Monthly. Since most organizations process payments monthly, default values is Monthly.

4

DISTRIBUTION PERIOD ENDS ON

A time frame for ending the distribution period can be defined. The following options are available.

If the interval selected is Weekly the following option is displayed.

Week day, each week: Select this option to specify a week day such that each row in the ‘payment schedule’ will end on the specified week day. A day can be selected from a drop-down list.

If the interval selected is Monthly the following options are displayed.

Specific Date, each month: Select this option to specify a specific date, such that each row in the ‘payment schedule’ will end on the specified date of each month.

End of each month: Select this option to specify the month-end such that each row in the ‘payment schedule’ will end on the last day of each month.

Distribution parameters can be defined in the section DISTRIBUTION OF AMOUNT, they are explained in the following table.

#

Property

Description

1

Distribution Mode

Distribution types available are Manual and Automatic. By default radio button next to Manual is selected.

2

Loading Type

Select a loading type from a drop-down list. Values available are:

Linear: (Alpha =1 , Beta = 1)

Front Loaded: (Alpha = 1, Beta = 5)

Back Loaded: (Alpha = 5, Beta = 1)

Based on the selected loading type, Alpha and Beta values will be automatically selected. The values can be modified and should be always greater than one.

3

Distribution Type

This option is displayed only when distribution mode selected is Automatic. The following settings are available.

Plan Amount: Select this option to distribute plan amount automatically.

Forecast Amount: Select this option to distribute forecast amount automatically

1.After entering the values click Distribute. Payment Term is distributed based on the settings provided. A message Distributed successfully. Please save the distributed details is displayed.

2.Click OK to continue.

 A sample distribution is displayed in the following figure.

Figure: Distribution Details

Depending on the Distribution Dates, PLAN DATE and PLANNED AMOUNT or FORECAST DATE and FORECAST AMOUNT is displayed.

3.Click Save to save the distribution.

Distributing payment schedules manually

In some cases payment terms are distributed manually.

To distribute payment schedules manually

1.On the Payment Schedule distribution window select the radio button next to Manual.

2.Select a Distribution Interval from a drop-down list. Options available are Monthly and Weekly.

3.Define the period in which the distribution ends. Options available are This day each month/week, This date each month and Month End.

4.After selecting the options click Distribute. Distribution table is created. Enter the PLAN amount manually.

5.Click Save  to save the payment schedule distribution

Figure: Distributing Manually

Distributing payment schedule in bulk

For importing payment schedules in bulk, MS Excel template is used as the import medium. An excel template is generated, values are entered in the template and the details in the file is imported.

To generate a template

1.On the payments schedule window tool bar click the option Bulk Distribution. A menu is displayed.

2.On the menu click Generate Template,

Figure: Generating template

Distribution Settings window is displayed.

Figure: Distribution Settings window

3.On the window define distribution settings as per your requirement and click Generate. The following message is displayed.


 


 

4.Click OK to continue.

5.Open the notification to download the generated template,


 

6.Enter values for the columns in the template and save the the template.

To  import a template

1.On the menu click Import.

File Selection window is displayed.

2.Select the saved excel template.

Distributed Values are imported.


 

To view log of bulk distribution


 

1.On the menu click Bulk Operation Log.

Bulk Operation Log window is displayed.

Here Date of operation, Operation name and Status of operation is displayed.

Importing, exporting and updating payment schedules

Payment Schedules can be imported in bulk using an MS Excel template. Options to generate an import template and import the template is available.

To generate an import template

1.On Payment Schedule window click Payment Schedule Import/Export.

2.On the menu click Generate Template.

3.An Excel template is generated. On the template enter values for different properties and save the file.

To import payment schedule

1.On the menu click Import. Bulk Import Wizard is displayed.

2.On the window click Choose File. File Selection Window is displayed.

Figure: Bulk Import Wizard

3.Select the saved excel template and click Next.

4.On the Bulk Import Wizard click Finish.

Figure: Bulk Import Wizard

Values are successfully imported. Status of the operation can be viewed from the bulk operation log window.

To view operations log

1.On the menu click Bulk Operation Log.

Bulk Operations Log window is displayed.

Figure: Bulk Operation Log window

Here details of the import operation is displayed.

Payment schedules can be exported to an MS Excel template, values can be edited and the payment terms can be updated with the edited values.

To export payment schedules

1.Select the payment schedules that is to be exported.

2.On the menu click Export.

Bulk Export Wizard is displayed.

Figure: Bulk Export Wizard

3.Select the mode of export and click Next.

An MS Excel template is generated.

4.Edit the values in the Excel file and save the file.

To update payment schedule

1.On the menu click Update.

WRENCH Bulk Import Wizard window is displayed.

Figure: Bulk Update Wizard

2.Click Choose file to select the edited Excel file.

3.Select the file from the stored location. Click Next to continue. The following Wizard is displayed.

Figure: Bulk Update Wizard

4.Click Finish.

Status of Update operation will be displayed in Bulk Operations Log.

Managing Invoices

Vendors submit invoices for payments. The organizations must pay money for the Commitments they made with the vendors. Normally the invoices are raised based on the payment terms specified in the PO. Invoice can be registered from the commitment window.

To register an invoice

1.Click the Commitments/Receivables tab.

2.Select a payment term from the commitment window.

3.Place the mouse pointer over the option Invoice Details and, in the menu, displayed click Register Invoice.

Figure: Registering Invoice

Register Invoice window is displayed.

Figure: Register Invoice window

The window will have two tabs, Details and Attachments. By default, the tab Details will be selected. Enter values for the fields mentioned in the following table.

#

Item

Description

1

Category

Here category of the invoice is displayed. For commitments the category displayed is Payments.

2

Invoice Number

Enter an invoice number.

3

Invoice Description

Enter invoice description.

4

Cost Code

Cost Code assigned to the selected Commitment or PO is displayed. This field is non-editable.

5

Line Item Number

Line Item number based on the Cost Code assigned to the selected Commitment/PO is displayed here. This field is non-editable.

6

Line Item Description

Line Item Description based on the Cost Code assigned to the selected Commitment/PO is displayed here. This field is non-editable.

7

Reference PO

Value is displayed automatically based on the Commitment or PO selected. This field is non-editable.

8

Payment Schedule Description

List of payment schedules created in the given PO, will be listed in the drop-down.

9

Payment status

Select a payment status from a drop-down list. Values available are:

Fully Paid

Partially Paid

Not Paid

In default the value “Not Paid” will be selected.

Once payment status change to ‘Fully Paid’ invoice amount is filled automatically to paid amount.

10

Expected Payment Date

Enter a date.

11

Vendor Details

Vendor defined in the commitment will be automatically filled. This field is non-editable.

12

Invoice Amount

Enter the invoice amount.

13

Paid amount

Enter the amount paid.

Once payment status change to ‘Paid’ invoice amount is filled automatically to paid amount. User can change the amount if needed.

14

Currency

Currency specified in the selected Commitment will be displayed.

15

Conversion Rate

Enter a conversion rate.

16

Invoice amount (Project Currency)

Calculated automatically based on the Conversion Rate. This field is non-editable.

17

Paid Amount (Project Currency)

Calculated automatically based on the Conversion Rate. This field is non-editable.

Attachments can be added to the invoice.

To add attachments

1.On the Register Invoice window click the tab Attachments.

2.On the window place the mouse pointer above the option Add . Options Existing Documents, New Documents and From Disk is displayed in the menu.

3.Choose the required attachment selection often.  Select the file that is to be attached to the invoice.

Attached file is displayed in the window.

4.After entering values click Save.

An invoice is generated. Generated invoice is displayed under Invoice Details.

NOTE: While creating an Invoice, if the invoice amount is less than the paid amount, and the value for PAYMENT STATUS is selected as ‘Fully Paid' when the user saves the invoice a message 'Invoice Amount is less than Paid Amount. Do you want to proceed with Fully Paid'? is displayed. Click Yes to save, and No to cancel the operation.

Invoice Details

List of generated invoices will be listed under Invoice Details.

To open invoice details

1.On the Commitments window click Invoice Details.

2.On the menu displayed click Invoice Details.

Invoice Details window is displayed. All the invoices created under the project will be listed here.

Figure: Invoice Details

To update invoice details

1.Select the invoice that you want to edit.

2.On the tool bar click Update.

Update Invoice  window is displayed. Details tab is selected by default and Invoice Details are displayed.

Figure: Update Invoice window

3. Change the invoice information.

4.Click the Attachments tab to add attachments to the Invoice.

Figure: Adding attachments

4.Click Save to save the modifications.

NOTE: If Payment Status of an invoice is Fully paid then user is restricted from editing the details and a warning message is displayed.

To remove invoices

1.Select the invoice that you want to remove.

2.On the tool bar click Remove.

3.A warning message is displayed. Click Yes to delete the invoice..

NOTE: Only users with “Edit Commitment” permission in Project can remove invoices.

Importing Invoices in bulk

Invoices can be imported in bulk using a MS Excel template. An MS Excel template is generated, invoice details are entered in the template and saved, and the details are imported.

To generate a template

1.On the Invoice Details window click Import Invoice.

2.On the menu displayed click Generate Template.

3.Import template is generated.

Figure: Import Template

4.Enter values for different columns in the template and save the file.

To import invoice details

1.On the Invoice Details window click Import Invoice.

2.On the menu displayed click Import.

Bulk Import Wizard is displayed.

Figure: Bulk Import Wizard

3.Click Choose file to select the import template and click Next.

Bulk Import Operation Status window is displayed. Here status of the import operation is displayed.

4.Click Finish.

Invoice details are successfully imported.


 


 

 

 

 

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