Cash Flow Scenario – Ribbon Toolbar
Genesis edition only.
The contextual ribbon toolbar for the Cash Flow Scenario window provides you with access to all of the functions that allow you to add, remove and manage Cash Flow Scenarios within the project.
Cash Flow Scenario – ribbon menu
GENERAL GROUP
|
NAME |
DESCRIPTION |
|---|---|
|
Copy |
Clicking the Copy button will copy the selected Cash Flow Scenario information to the clipboard. This allows for the data to be pasted to an external application. |
|
Undo |
Clicking the Undo button reverses the last change made to the data. |
|
Redo |
The Redo button becomes available when an undo action is performed and is used to reverse the undo action. |
EDITING GROUP
|
NAME |
DESCRIPTION |
|---|---|
|
Add Scenario |
Opens a dialog window that allows you to add a new Cash Flow Scenario to the Cash Flow Scenarios window. |
|
Remove Scenario |
Clicking the Remove Scenario Item button will permanently remove the selected Cash Flow Scenario(s) from the Cash Flow Scenarios window. Note: You cannot remove a Cash Flow Scenario if it is marked as the Active Scenario. |
|
Duplicate Scenario |
Allows for the creation of a new Cash Flow Scenario using the information from an existing scenario. |
|
Add Scenario |
Opens a dialog window that allows you to create a Cash Flow Scenario from a spreadsheet that contains data exported from a scheduling package. The columns can then be mapped and imported into the current project as a new scenario with the default name ‘Imported Scenario’. Note: This will also create a new Code Set within your project titled ‘Imported Code Set’. |
|
Mark Scenario as Active |
Clicking the Mark Scenario as Active button identifies the Cash Flow Scenario to be used in the projects calculations. The results of these calculations are displayed in the Cash Flow Results window. |
|
Activities |
Opens the Cash Flow Scenario - Activities window, allowing you to set the Start and Finish Dates for the Scenarios activities. Note: This option will only be available if the scenarios calculation method is set to Scheduled Activities. |
|
Direct Cost Scheduling |
Opens the Direct Cost Quantities Over Time window, allowing you to enter quantities against Direct Cost Schedule items when they occur during the scenario. Note: This option will only be available if the scenarios calculation method is set to Quantities Over Time. |
|
Overhead Cost Scheduling |
Opens the Overhead Cost Quantities Over Time window, allowing you to enter quantities against Overhead Cost Schedule items when they occur during the scenario. Note: This option will only be available if the scenarios calculation method is set to Quantities Over Time. |
|
Cash Flow Scenario Options |
Opens the Cash Flow Scenario Options window, allowing you to manage the calendar and cost/income delays to use for the selected scenario. |
GRID GROUP
|
NAME |
DESCRIPTION |
|---|---|
|
Filter Editor |
Opens the Filter Editor to allow users to modify the contents of the grid so that only items that match the specific criteria set will be displayed. |
|
Column Chooser |
Clicking the Column Chooser button will open a dialogue box that will allow users to add or remove columns from the grid. |
|
Search |
Clicking the Search function will display a field in the top right-hand corner of the grid, that will allow users to search the current window for the text entered. |
