Use the properties page to edit general portfolio information. General properties include details such as the portfolio name and ID, description, layout, manager, start and finish dates, and planned cost and benefit.
The fields that display on this page are the same fields that displayed when you created the portfolio.
Follow these steps:
The properties page appears.
Defines the name of the portfolio.
Defines a unique identifier for the portfolio.
Defines the portfolio description.
Specifies the page layout you want to use to view portfolio data. The available layouts are company-specific and are dependent on the values set by your CA Clarity PPM administrator. If other layouts are not available, this field is display-only.
Default: Portfolio Default Layout
Specifies the portfolio manager who is responsible for managing portfolio details.
Default: The resource who created the portfolio.
Required: Yes
Specifies date when portfolio analysis starts. The portfolio start and finish dates set the boundary for an investment cost and role capacity and demand.
Default: The first day of the current system year.
Required: Yes
Specifies the date when portfolio analysis ends. Click the Select Date icon to select another date.
Default: The last day of current system year.
Displays the currency code for the portfolio.
Defines the amount of money available for investments in this portfolio.
Default: 0
Required: Yes
Defines the amount of money expected in return from the investments in the portfolio.
Default: 0
Required: Yes
Indicates if the portfolio is active.
Default: Selected
Required: No
Specifies whether to manage the portfolio cost values using total remaining planned cost values. This field is display only after the portfolio is created.
Values:
Default: Total Planned Cost
Required: Yes
Specifies the unit in which capacity values are calculated and represented. This field is display only after the portfolio is created.
Values: Hours or FTE
Default: Hours
Specifies whether to manage the portfolio capacity values using total role capacity or remaining role capacity. This field is display only after the portfolio is created.
Values:
Default: Total Capacity
Specifies the type of investments included in this portfolio. You can select an investment type, such as Project, or all investment types. Additional investment types created using Lifecycle Management in Studio are also available as investment types.
See the Studio Developer’s Guide for more information.
This field is display-only after the portfolio is created. If you select an investment type, supported fields are based on the selected investment type.
Default: All
Defines the department for which you are creating the portfolio. When you select a department, all investments that meet the criteria (that is, the selected portfolio type) are automatically made available to the portfolio. You cannot edit this field after creating the portfolio.
Defines the type of portfolio you want to create. Select Customer if you want to analyze a portfolio of investments that the department is funding. Select Provider if you want to analyze a portfolio of investments that the department owns. You cannot edit this field after creating the portfolio.
Values: Customer or Provider.
The changes are saved.
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