Provision Control
The Provision Control routine registers the new provision control and project execution processes, so as to meet the accounting rule ICPC 01 - Concession Contracts according to the Statute 11,638 from December 2007 on the process of convergence of Brazilian and international accounting rules.
It is possible to query, add, edit, admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-3cf75f82-5e2e-4479-b391-b05ee7e51b59, admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-1d0e3937-fed0-488f-9b0d-febd7da37c9f, admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-fa7cb640-13bb-449d-8172-7852bafa6d32, confluencepage-43db55d7-8633-475f-9d66-9eca8a0a7e70, confluencepage-55fe9880-1643-453c-b242-9ed0bced5b37, admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-73cd5794-c416-4b50-b6ed-a129344f6b0e, admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-fd033937-5318-4cdb-ab19-fda4e5b391dc, admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-4d305a4a-a4da-47ff-a91c-14bf1d9dc62a, make execution effective and reverse execution.
a7a41e1b-0814-4850-913f-af4e425f4d79Important: You can perform the recognition of the provision by starting with the beginning of the project and the performed after the beginning of the project, filling out the fields St.Dt. Proj and the Recog. Dt. |
Requirements
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The admin-IN-316fd0ae-5f3c-4db9-ac26-cbdf4ff8a7d1-1507579308097-3b71c686-feb2-4e58-811e-8f05c2cbfccc parameter must be configured with the content 365. |
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Register of the default entries as follows: |
Code of the Default Entry |
Description |
881 |
Provision Transaction |
882 |
Reversal of Provision Transaction |
883 |
Revision of Provision Transaction |
884 |
Reversal of Effective Execution |
Procedures
Adding a provision control:
3. |
Fill out the fields below accordingly: |
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Code: Code referring to the provision control. The value of this field is unique. |
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Revision: Revision of provision transaction. Field automatically filled out. |
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Description: Description to the provision control. |
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Start Date: Start date of the provision control. |
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Calculation Type: This field defines the calculation type to be applied to the provision control. |
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Index: indicate the code of the index to be applied to the provision control calculations. [F3] query available (FNI). |
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APV Index: Indicate the code of the APV index to be applied to the provision control. [F3] query available (FIT). |
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APV Rate: Rate of the APV index to be applied to the provision control. This field is automatically filled out with the last rate registered on a date equal to or before the start date of the provision control. |
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Account: Ledger account used for accounting the provision control calculations. [F3] query available (CT1). |
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Cost Center: Cost Center used for accounting the provision control calculations. [F3] query available (CTT). |
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Item: Accounting Item used for accounting the provision control calculations. [F3] query available (CTD). |
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Value Class: Value Class used for accounting the provision control calculations. [F3] query available (CTH). |
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Status: The Status field cannot be edit and its value upon adding is 0 (generated). |
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Locked: This field cannot be edited while adding. It indicates whether the register of provision control is available or locked for use and whether its starting value is No. |
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Gross Total: Calculated field which indicates the total sum of the items of the provision spreadsheet |
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Present Total: Calculated field which indicates the total sum of the items of the present value spreadsheet |
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St. Dt.Proj: Start Date of the Project. This field determines the reference date for the distribution calculation. |
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Recog Dt.: Recognition Date of the provision. This field calculates the number of days for the AVP, with the calculation of the discount rate for provision, and the beginning of the provision operations. |
4. |
In the Provision Items tab: |
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Item: Code of the item referring to the provision control. The value of this field is filled out automatically, starting with 0001. |
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End Date: Date on which the provision of this item is to be ended. You must indicate the last day of the month/year to which this item of the provision control refers. |
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Gross Value: Gross value of the execution provision of the provision control item. |
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Present Vl.: Present value of the execution provision of the provision control item. This field is calculated based on the Gross Value brought to present value by the APV rate indicated in the register header. |
Present value is calculated following the steps below:
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The APV rate is converted to daily basis by the formula: |
Daily Rate = (1+(APV Rate /100))^(1/Number of days of the Rate)
The number of days of the rate depends on the periodicity indicated in the Financial Indexes register (routine FINA017), as follows:
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Annual: 360 days (Commercial Year) |
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The Present Value of the Provision Item is calculated by the formula: |
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Present Value = Gross Value / (Daily Rate ^ Number of Days of Provision) |
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The number of days of provision is the number of months between the start of provision and the end date of the provision item times 30. |
5. |
Check the data and Confirm them. |
Editing the provision control register:
1. |
Select the desired provision control |
3. |
Make any necessary changes and Confirm them. |