Warning ... this is a long e-mail, with comments on top and in-line below.
If you do not already have a BPCS manual, I suggest you get one. There are
several fine publishers. The manuals cost around $250.00 to $350.00 (US)
and include lots of info about what files contain what data. We have
talked about BPCS documentation in BPCS_L archives.
If your company does not now have some kind of BPCS tech support, I suggest
you look into getting this service. It is extremely dangerous to be
running an ERP purely on peer advice through a discussion group, even one
as good as this.
I am not an expert on Financials, and I know stuff very different across
BPCS versions, but let me take a crack at some of this. Be informed that
for several months, me (the IT guy) has been doing the End Month stuff for
my employer, and recently I got the privilege of doing the End Year stuff
(first time for me). Theory is that if something goes wrong computer-wise,
you need the IT guy there to take care of it (also I can be reviewing "Why
does this or that task take so long? What can I do to speed it up?" Which
has led to some conclusions about where it is safe to multi-thread and
where not.). If something goes wrong with the totals, top management can
then decide whether the situation is serious enough to go back to some
backup ...
We have very early in our end-fiscal check list, doing backup onto a tape
which will go off-site and not be re-used right away. Several years ago,
we did have a case where a decision was made to hang onto that tape (take
it out of normal rotation), then several weeks after an End Fiscal, backup
the new reality, restore the files as of right before end-fiscal, do some
stuff with that reality, then restore the new reality, and continue
on. Big pain in the ***** for everyone, but that was doable.
Some other companies, on this list, copy their costs as of end year into
frozen standard costs, so that in future fiscal periods they can compare
their now costs to what they were at last year end.
BPCS has 3 calendars that I am aware of:
Fiscal Calendar controls the posting of other BPCS data into General Ledger.
Shop Calendar of when your factories will be working ... used by the
Planning Modules.
Shipping Calendar used by DRP ... this does not yet affect us.
Oh ... I just got to a certain point in my life ... I was born 8 Feb 1944
My attitude is ... I am glad to have survived this long, and my mind is
fully functional, and hope I survive lots more.
you wrote:
Dear All:
Please clarify the following for financial and manufacturing effect for the
month end and year end.
1. If we execute month end close on Jan 31, 2003 and financial is not yet
finished with their reconciliation for January, what would happen?
Can they still adjust let's say if it is already Feb. 3?
Normally for our month end close, we open the next fiscal period, but leave
the just ended month still open for final adjustments for that
month. Normally during the year, we have the current month open, and the
prior month. Very rarely more than two fiscal months open. Right now we
have December, January, February open, and also special period 13 for YEAR
adjustments that are not transactions for any one particular month.
Life goes on like usual for the whole company, while the accounting
department works on closing the books for the fiscal year. I do not expect
them to get done any time soon. Then we will have a visit by some
financial auditors, and as a result of their visit, there may be some more
adjustments. Preliminary Year End has been run several times. Final Year
End is still some distance away.
How about Manufacturing e.g. purge shop order, purchase history, inventory
transaction history, Please be specific? Are all this histories retrievable
after it has been purged and where (table/database)?
We run shop order purge on the average of twice a week, sometimes once a
week. I would guess that in an average month of 4 weeks, the shop order
purge gets run 6-7 times. Usually I do all facilities ... occasionally
there is a problem with one facility, and I do a purge of all but them.
I have found that running SYS120 (ought to be done in a restricted BPCS
system) in front of CST900 can result in the pair of them running in less
time, than if SYS120 was skipped.
(We can do BPCS file reorg when not restricted, but what happens is that
the most popular files, that most need a reorg reset, just do not get what
they need.)
Once a shop order is purged, the data that was in there is GONE
except where we have done a "modification" to capture some stuff in query
work files, and
except where the purge process updates some files related to the cost of
making the parts, and
except the inventory history and labor history, and
except for a file we added that tracks manufacturing history by machine tooling
For purposes of our month end, there are a number of reports that have been
created that look at the data that was reported through history, more labor
history than inventory history
From perspective of users in entire company, when they looking at history
other than through vanilla programs, I think the most popular are the labor
history and the billing invoice line item history.
Note that in Query/400 and BPCS that if you have a report that combines
several files
e.g. Labor History FLT access Clock # CEM to get employee name for the report
and if that employee is no longer on the payroll
and if someone has deleted that employee from the clock number
you run the report for the month, and what that employee did is not
included in the totals
because only records that match in all files show up there
so as a policy matter ... we code our CEM employee clock # as TERMINATED
from payroll, but still a valid record for end fiscal reports
Another related topic ... at the time of shop order purge, CST900 looks at
history on shop order coded as closed, and needs to see that all the
inventory and labor has been posted that is needed. It does not rely
exclusively on the totals in the shop order. If it cannot find some of the
reported history on that order, the order does not purge. Therefore your
retention of old history, needs to stay in the system longer than the
oldest shop order.
For this reason, we do not use the vanilla shop order history purge
program, but rather something I have written that, among its other talents,
does not wipe out a labor history record if the shop order involved is
still open.
You need to review the processes used by your company in the purge process.
There are options ... do you want the history that is going away to go to a
backup tape, which can become a nightmare to manage, because stuff goes to
tape based on when it became older than the history to be retained, and the
vanilla BPCS tape file labeling is brain dead.
There's also archiving software out there ... check BPCS_L archives for that.
We have found that it is so rare that someone needs access to records from
eons ago, that we don't save records from eons ago. We do have end fiscal
reports in cartons labeled by which month, and once upon a time I suggested
that all the fiscal stuff for each fiscal period go on a CD ROM because in
my opinion, the technology of tapes and diskettes go obsolete every few
years, while a CD ROM from decades ago can still be read ... but perhaps
better make more than one of them, as backup.
Once upon a time, we had a purchasing guy who wanted to track history of
cost changes on raw materials longer than everyone else needed all other
history saved, so we had a modification of the inventory purge that when
the "C" record was due to leave, it got copied to this other file, then
there were reports for him that combined the "C" records in current history
with the contents of this other file.
2. If we execute month end close on Feb. 5 2004 for January Book will it
effect on February or January as a closing month end close.
What is affected is controlled by two major factors.
1. Your fiscal month determines if Feb 1 2 3 4 5 is included in January or
in February.
2. Your corporate discipline upon the work force with respect to back
dating transactions.
For example: Let's suppose you tell everyone that you will be doing Month
End Close on Feb 5, and they need to be caught up on their transactions in
advance of month end close, but some co-workers get behind, then after you
are all done with month end, they catch up with their posting, and BACK
DATE their entry to when it should have gone in, before Feb 5.
If you have closed the prior fiscal period, BPCS will have indigestion if
someone tries to post to a period that is not open. In other words, your
totals will be whacko.
If you have not closed the prior fiscal period, pending accounting
adjustments, BPCS will accept these other transactions, that accounting
knows nothing about, and BPCS posts them as if they had gone in before
month end, changing the relevant month end totals all over the place,
different than what is on the reports that accounting thinks of as the
official story for month end.
Then when next month rolls around, the month reports will be low by the
transactions that went in that month with dates of the prior month.
We have a company rule that needs to be restated occasionally.
Thou shalt not back date transactions unless accounting and IT approve of
special circumstances. (In other words they know about it.)
We have not been as rigorously beating the drums about future dates on
transactions, and as far as I can tell, all such input is by mistake.
I am not referring to when orders are due, but when the transaction
allegedly occurred.
What you need to understand here is that BPCS permits the user to key in
any date they please, it just defaults to today. So if someone makes a
mistake, and keys in Dec 2004 when they meant to do Dec 2003, or key in Jan
2003 when they meant to do Jan 2004, BPCS lets them ... it is a valid date
after all. Now what BPCS financials does with that input might not be
valid for you.
3. If we execute month end close on Feb. 5 2004 with still pending January
accounts but no transactions transpired whether inventory/financial done in
February, will it be reflected on January or February Book.
BPCS uses the DATE of transactions that people post, vs. your FISCAL
CALENDAR to determine what fiscal period the transactions are supposed to
go into. If that is a period prior to current fiscal month, and it is
still open, and if accounting is still running various posts to that
period, then BPCS will pick up and post the stuff.
As an exercise, to those who have been asleep on these nuances, I suggest
you take a look at your GL files of unposted transactions, and run a query
of what is in there for dates that are outside what is currently open
fiscal periods. If you are anything like us, you will find a bunch of
unposted transactions for fiscal periods long since closed, and a
scattering of transactions way in the future for fiscal periods that do not
exist yet.
-
Al Macintyre http://www.ryze.com/go/Al9Mac
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