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Specify WIP Settings

Follow these steps:

  1. Open Administration, and from Finance menu, click WIP Settings.

    The financial management WIP settings page appears.

  2. Complete the following fields:
    Entity

    Defines the source of the entity. The value of the source entity is stored for transaction entry.

    Values: Project, Client, or Employee

    Location

    Defines the source of the location.

    Values: Project, Client, Cost Code, or Employee

    Department

    Defines the source of the department.

    Values: Project, Client, Cost Code, or Employee

    WIP Aging Levels in Days

    Defines the number of days for each WIP level.

  3. Click Save.