Introduction
About Clausion Financial Performance Management Documentation
Group Reporting Process
Yearly and Monthly Tasks
Income Statement and Balance Sheet Process
Notes Process
Cash Flow Reporting Process
Role — Admin User
Basics — Users
Basics — User Interface and Templates
Basics — Chart of Accounts
Environment Management — Automatic Entries
Data Calculations and Transfers — Input Data Calculations
Opening Balance
Opening Balance Transfer
Opening Balance Transfer, Internal Items
Opening Balances, Check
Cash Flow Opening Balance
Cash Flow Opening Documents
Cash Flow Opening Balances, Check
Role — Company Actuals
Income Statement and Balance sheet
Input
Input IS and BS, cum. 1 period (10 000 & 20 000)
Adjustments to company IS and BS, cum. 1 period (110 000 & 120 000)
FAS adjustments to company IS and BS, cum. 1 period (410 000 & 420 000)
Input of balance values of internal inventories (40 000)
Reports
Company income statement
Company balance sheet
Company statements, input series as columns
Reconciliation for internal transactions with counter units
Cash Flow
Input
Loan Changes Input (10 000 & 20 000)
Loan Changes Input, Company Adjustments (110 000 & 120 000)
Loan Changes Input, Company FAS Adjustments (410 000 & 420 000)
Adjustments to Company Cash Flow Stmt (810 000)
FAS Adjustments to Company Cash Flow Stmt (815 000)
Reports, Cash Flow
Company Statement of Cash Flows
Cash Flow Check Report
Company Statement of Cash Flows, Monthly (cumulative/periodical)
Notes
Input
Notes Input (10 000 & 20 000)
Notes Input, Company Adjustments (110 000 & 120 000)
Notes Input, Company FAS Adjustments (410 000 & 420 000)
Input of Number of Personnel and Shares (10 000)
Reports
Company Notes
Notes Accounts by Document Series in Input Currency
Role — Financial Consolidation
Income Statement, Balance Sheet and Notes
Eliminations
Consolidation Entries (30 000)
Consolidation Entries (130 000)
Consolidation Entries (430 000)
Reversal of Tax Based Provisions (32 000)
Reversal of Tax Based Provisions (132 000)
Reversal of Tax Based Provisions (432 000)
Input of Margin and Tax Rates for Internal Margins in Inventories (40 000)
Eliminations of Internal Margins in Non-current Assets (50 000)
Eliminations of Equity Investments (60 000)
Investments Accounted for Using the Equity Method 1 Period (80 000)
Investments Accounted for Using the Equity Method 1+12 Periods (80 000)
Other Entries, Translation Reserve (170 000)
Other Entries Fixed 1 Period (70 000)
Other Entries Temporary 1 Period (72 000)
Other Entries Fixed 1+12 Periods (70 000)
Other Entries Temporary 1+12 Periods (72 000)
Other Entries, FAS Adjustments 1+12 Periods (470 000)
Reversal of Tax Based Provisions 1+12 Periods (32 000)
Reversal of Tax Based Provisions 1+12 Periods (132 000)
Reversal of Tax Based Provisions 1+12 Periods (432 000)
Notes Input, Eliminations (190 000)
Check Reports
Consolidated Financial Statement by Unit
Consolidated Financial Statement by Unit, Unit Data in Input Currency
All Selected Accounts by Unit
All Selected Accounts by Document Series
All Entries by Document Series
Changes in Equity and Continuity Check
Changes in Equity and Continuity Check by Unit and Document Series
Changes in Non-current Assets and Continuity Check
Changes in Non-current Assets and Continuity Check by Unit and Document Series
Notes Accounts Report by Input Unit
Notes Accounts Report by Input Unit, Unit Data in Input Currency
Changes in Notes Accounts and Continuity Check
Changes in Notes Accounts and Continuity Check by Unit and Document Series
Income Statement, Balance Sheet and Key Indicators, Monthly
Internal Inventories and Margins Used for Eliminations
Reconciliation Report for Internal Transactions
Accelerated Depreciation and Tax Based Provisions
Not Completely Eliminated Internal Transactions Due to Proportional Consolidation
Reports
Consolidated Income Statement
Consolidated Income Statement, Quarter and Year-to-date
Consolidated Balance Sheet
Consolidated Other Notes
Consolidated Key Indicators
Consolidated Key Indicators, Quarter and Year-to-date
Cash Flow
Other Entries to Consolidated Cash Flow (870 000)
Other Entries to Consolidated Cash Flow, FAS Adjustments (874 000)
Company Arrangements
Balance Sheet of Acquired Company (830 000)
Balance Sheet of Disposed Company (840 000)
Balance Sheet Items of Other Company Arrangements (850 000)
Change in Ownership, Proportional Consolidation, Adjustments to CF (850 000)
Group Elimination Adjustments for Acquired Company (835 000)
Group Elimination Adjustments for Disposed Company (845 000)
Group Elimination Adjustments for Other Company Arrangements (855 000)
Reports, Cash Flow
Consolidated Statement of Cash Flows
Consolidated Statement of Cash Flows by Unit
Consolidated Statement of Cash Flows by Unit, Unit Data in Input Currency
Cash Flow Check Report
Consolidated Statement of Cash Flows, Monthly (cumulative/periodical)
Opening Balance
Opening Balance Transfer
Opening Balance Transfer, Internal Items
Opening Balances, Check
Cash Flow Opening Balance
Cash Flow Opening Documents
Cash Flow Opening Balances, Check
Clausion Dynamic Reporting for Financial Performance Management
Other Structures
Document Series
Global Parameters