Manage Allocation Journals
Use this screen to view the amounts that is posted to the General Ledger for pools and service center pools for a given fiscal year, period, and subperiod.
Both current period and year-to-date calculations are stored for the calculation period. The amount that is posted (current or YTD) is determined by which option you select in the Apply Burdening based on group box on the Corporate Settings subtask of the Configure Project Settings screen.
For service center pools only (and specifically service center pools with a Calculation of Base method of Manual as selected on the Service Center subtask of the Manage Cost Pools screen), you can modify the Cur No of Units, Cur %, Cur Alloc Amt, and Cur Amt to Post columns.
Also, for manual service center pools only, you can import the allocation rows based on the Allocation Journal History. You can thus populate the table window based on the historical allocations for this pool.
You can modify this screen only for service center pools whose Calculation of Base method is Manual (on the Service Center subtask of the Manage Cost Pools screen). Maintain it whenever service center allocations are required (usually monthly), or whenever adjustments to a service center allocation are necessary. After you have executed the Compute/Print Pool Rates screen, this screen is populated by non-service center pools.
- Related Topics:
- Display the Manage Allocation Journals Screen
You access the Manage Allocation Journals screen from the Projects domain. - Contents of the Manage Allocation Journals Screen
Use the fields and options to configure the Manage Allocation Journals screen. - Table Information for the Manage Allocation Journals Screen
Changes to Manage Allocation Journals screen update the ALLOC_BASIS_JNL table. - Subtask of the Manage Allocation Journals Screen
The Manage Allocation Journals screen has the Import subtask.