Edit the name of the new tab, if required. Select the Database from which to source the data, along with the corresponding stream and value measure. The available databases, and their stream and measure options, depend on whatever is in your organization's Phocas site. The Budgets and Forecasts module is based on the Financial Statements module, so there will always be a financial database option. However, you might also have other options, such as a Sales or Purchasing database. Select the baseline data structure: Stream - Fill the tab with values from the selected stream of data, as a starting point that you can later adjust. For example, you could use your current year's actuals or the previous year’s budget values. Zeros - Fill the tab with zeros ($0.00), so you can start with a clean slate.
(Applicable when using stream values) Change the default offset, if required. If you're budgeting by year, the offset defaults to -1 and if you’re budgeting by month, the offset defaults to -12. Set the measure format to determine how the measures (numerical values) display in the grid. Leave the Include ### suspense items checkbox selected if you want unclassified items to display in the Reference tab. If you do not want to include those items, clear the checkbox. Leave the Editable checkbox selected if you want other users to edit the data in the Reference tab. If you want to prevent users from editing the data (and disable all workflows), clear the checkbox. You might want to do this at the end of the budget period to lock in the final budget values. (Applicable when linking to a financial database) Select the template to determine the layout of the contents on the new tab: The available templates depend on the types of Profit and Loss statements your organization has created in the Financial Statements module. The template determines the layout of the data. It also applies the Reverse Sign setting (displays a negative number as a positive, or vice versa) from the corresponding financial statement. For example, if you are bringing in data from last year’s Profit and Loss statement, you might want to use the same Profit and Loss template as you used in the budget setup, so the data is laid out the same in both the Main and Reference tabs. The following images show the difference a template can make to how the data displays in the tab. 
Add levels to determine how the data in the tab is organized. If you are referencing a financial database, by default, the highest level (dimension) is the Profit and Loss Category and the lowest level, where the workflow sits, is always the General Ledger account. You can leave the default hierarchy as it is, or add more levels and apply filters, as required. If you are referencing an operational budget, you need to add at least one level, up to a maximum of six levels. The last level determines where the workflow sits. To add a level, click Add level and select the dimension you want to add, then repeat to add more levels. The available dimensions depend on the source database. You can apply a level filter and drag the levels to reorder them, as required. If you do not add levels now, you can add more levels later.
Click Next.
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