Search  
  You are here:  SoftwareSchedule & Cashflow      
Schedule and Cashflow Minimize

Creating the Schedule and linking it to the Bill of Quantities

  • Create the schedule on this screen. Specify the predecessors and leads or lags.
  • You can also enter the progress as a percentage and deadline.
  • On the date routines, you can specify the length of the calender and work week (5, 6 or 7 days).
  • You can also specify holidays and other non-working days.
  • Link the Bill to the Schedule. A Bill of Quantity item can be allocated to more than one Bar. (e.g. concrete in slabs will be casted in three stages).

SceduleCreate.Png

 

Barchart

After calculation, you can display the Barchart.

Barchart.png

 

Cashflow

  •  As the Barchart is linked to the Estimate, it is possible to do a Cashflow.
  • The dark blue line is the nett cash position of the contract, taking into account the cumulative expense, retention and drawings.

CashFlow.png

 

Resources needed over a time span

Because it links with the Estimate, it is possible to determine the resources needed for a range of items in the Schedule within a time interval.

CashFlowSelect.png

 

Resources required for selected bars within the time interval:

ScheduleAllowables.png

 

 

 

 

 

 

 

 

Print  

Home:Support:Software:Customers:Team:History:Contact Us:Careers
Copyright 2011 by E J Marais (Pty) Ltd Terms Of Use Privacy Statement