4.6.32 - 27 May 2024
Workbench Release Notes
Job Contract
New Schedule based contract claim reports
New reports reading from Contract Schedule
We have released two new reports that read the Contract Summary (Original Schedule and Variations) from the Contract Claim Schedules, rather than from the Budgets.New Payment Claim Certificate - Detailed Payment Claim Certificate (Schedule) wbContractClaim017
New AR Invoice - Payment Claim Invoice (Schedule) wbARInvoice009
To use this Tax Invoice edit the current Invoice Type or create a new one from Invoice Type Maintenance, and select the new report.Original Contract Value: Is the total of all the Contract Schedules with a Schedule Type = Original Contract
Plus Variations: Is the total of all Contract Schedules where the Schedule Type is not Original Contract.
Plant
An error when opening a Plant Service Log where the Service interval was Null, has been fixed.
Billing
An error on the Job Invoices list when using the filter Assigned To has been fixed.
wbContractClaim017
Things we are busy working on...
Project Trust Accounts On Contracts.
Contract Claims: New approval process on Contract Claims to resemble the certification process.
Contract Claims: record claimed and certified values on each Claim (like in Subcontract Claims).
Custom Views on List screens, and exploring the ability to add extension columns to these views. This will expand your reporting ability on the List screens.
Audit for configuration changes.
Month End Process.
Analysis graphs on Sales Invoices.
🔨 Interval- Based Equipment Maintenance in Upvise (e.g. 250-hour increments- 250, 500, 750, 1000 repeat)
ITP Module in Upvise (Email support@wbi.freshdesk.com for Expression of Interest)
Upcoming functionality
Contract Claim Process - upcoming changes you need to know
We will be making changes to improve the Claiming process on Contract Claims, and users will soon be able to:
Capture This Claim Claimed Values.
Capture this Claim Certified Values.
With the Contract schedule claiming process, we recognise the importance of capturing the final certified value and the actual claimed value to have a full picture and history of the claims (similar to how it is done on Subcontract Claims).
This means there will be a slight change in the process in which we aim to replicate the two stages in a real scenario: Claim and Certification. This will be released by the end of June and announced in the Release Notes.
New Custom Views on List screens coming soon
This new functionality will give you the freedom to create your own reporting and extract your data. Custom Views will progressively be released in most of the List screens.
Admin users will be able to create any number of Views with preferred columns and filters.
Default standard views will be provided, starting with Standard Job Invoices View, Aged Debtors, and Contract Claims.
New Features
Plant
Plant Budgets by period:
Plant managers can now create their Plant Budgets specifying Revenue and Year /Period on each line.
This enables businesses that hire plant or have their own Mechanic Workshops where they do activities like Engine rebuilds, to forecast the financial year by what cost each plant will have and what Revenue it will bring. You can then track the budgets by period against their actuals.
These new columns are hidden by default in Grid Management (Plant Budget Detail grid)
Feature Revisions
Jobs
Contracts - Project Trust Accounts:
Updates on MYOB Advanced Integration:
As part of the development we are doing to bring Project Trust Accounts functionality to our clients in Queensland, we have now released a change done on the integration with MYOB Advanced, that brings across the cash account’s GL Code for Job Receipts (Cash account into which the deposit was done). This will be used to validate that the correct Bank Accounts are being used, as required by the Queensland Building & Construction Commission (QBCC).
We will be working on Xero and Business Central integrations next (MYOB AccountRight has already been completed).Job Enquiry:
Improved filtering in the Outputs tab to allow users to find lines linked to a specific Output Schedule.Cashflow Period Change With Forecast Period:
We made some changes to the default periods displayed on the Forecast screen:The default Cashflow Period will now display the first open Forecast period not just the Current period.
When the Cashflow Period is changed, the Display Period will be updated to be Cashflow Period + 1.
Purchasing
Mobile Purchase Orders list - exclude cancelled and completed POs:
For ease of use, the Purchase Order List for the mobile phone excludes Completed and Cancelled POs. The Mobile List screen is not designed to view historical PO data, and it only displays unapproved POs. If approving a PO from the mobile phone, the PO must be sent to the Supplier at the moment of approval, or otherwise access it later from the standard desktop PO list.Image Documents - update supplier matching to use GST + ACTIVE:
For those using OCR to process AP Invoices (Xtracta), the matching to find a supplier is now only looking at Active suppliers, to avoid links to the wrong supplier.
Stock
Redesigned Setup Wizard for the Stock module:
All instructions for the initial configuration of the stock module are displayed on the screen and will guide the Consultant and Admin user alike, in the process.
The main changes are the imports required:Create Stock Items in Bulk: For Standard and Last Cost methods, this will initialise each Item’s cost. The period Average method will also require the new data import below to initialise the Period Average Cost.
Initialise Average Cost Value per Location: Data import: wbImportStockOpeningBalances.
Import Stock opening balances through this import to initialise quantity and an average cost for your stock items - locations. The item and location must be new to the system. The adjustments will be flagged as initialisation records and used to calculate the starting average cost. In the future, to update existing Average Cost value per Location, use the 'Import Stock Adjustments' import, leaving the Quantity 0 in order to adjust the average cost.
Billing
Internal Sales
We made the process of creating Internal Sales more intuitive:
You will now see the Internal Sales label at the top of an Internal Sales AR Invoice, so it is clear that you are creating this type of document and not a standard AR Invoice.
You can now see what job this is being charged to with the new label: Charge To Job [ Job Code : Job Description]. It also has a hyperlink to Job Enquiry, so you can see the resulting Cost transactions on the Charge To Job.
We have removed the Billing Type ‘Internal Sales’ from Charge Types, as this is not required. The only way to indicate Internal Sales charge type is by selecting the Allow Internal Sales check box on the Charge Type. Typically, the Charge type would be Input-Output Based or Input Based or Output Based with Internal Sales enabled.
Internal Sales Cost transactions dates:
The resulting Cost transactions on the Charge to Job had the date the Internal Sales Invoice was created. We have changed this and these transactions now have the Date of the Job Invoice.
Month End
Export Control - Analysis on Inter-Company AP Lines:
Where an AP Invoice Line is on a job in a different FinCo the Analysis1 code will not be populated from the ExportCode of the job’s profit centre. This is because that analysis code may not exist in the FinCo being exported to.
Administration
Data Transfers - Data imports:
AP Invoice lines import now includes the option to import a Log Number on each line (wbImportAPInvoiceLines).Licencing:
Standard Licence:
Now includes access to Plant Stand Downs as long as a Plant Management site licence exists.Business Central Integration screen:
Besides a Business Central Site licence, users with Finance, System Admin and Data Entry can now access the Business Central integration screen if included in their site map profiles.
Fixes
Dockets & Daysheets
The date on Plant issue ( on Plant tab) was reverting to the Daysheet header date when the plant issue had a different date. This has been amended and the Plant Issue date is not changed.
Purchasing
Vouchers
The reference on the AP Invoice lines resulting from an approved Voucher now have the reference of the PO line on the Voucher Line, rather than the PO on the Voucher Header.
Billing
Reinstate profit centre security on the Job Sales Invoice list.
Month End
Utilities - Docket Reconciliation report:
The Docket AP Invoices Reconciliation report which is printed from the Docket Reconciliation list, can now be executed including Financial Companies as a parameter.
Integration
Business Central
A compatibility issue with v24 has been fixed.
Upvise
Upvise Framework Optimisations
A new version of the Upvise framework will be released by 27th May, which includes significant refactoring and optimisations. This update aims to enhance the performance and stability of the web accounts, ensuring a smoother and more efficient user experience.
Key Highlights:
Refactoring and Optimization: Upvise has thoroughly restructured and optimized the framework to improve overall performance and maintainability.
Feature Set: There are no changes to the existing feature set, ensuring that all current functionalities remain intact.
Mobile Apps: This update does not affect the mobile applications. Your mobile experience will remain unchanged.
Attendance Integration
Non-Employee Scanning: Attendance lines with scans for non-employees will be automatically skipped during import, ensuring cleaner data. The Upvise integration will show a warning “A Person in Workbench could not be found by name “xxxxxxx” to indicate this.
Extended Import Time-Out: The import time-out period has been increased, allowing for larger attendance imports per hour without interruptions.
Upvise Plant Driver to Owner Sync Basis (Integration Setting)
We've streamlined the Upvise Equipment Owner settings into a single option called "Upvise Plant Driver to Owner Sync Basis." This change consolidates multiple settings into one, making it easier to manage and understand.
New Sync Options:
Plant Driver: Syncs the plant driver to the Upvise equipment owner on each sync.
Everyone: Syncs 'Everyone' to the Upvise equipment owner on each sync.
Disabled: No sync is performed to the Upvise equipment owner, allowing you to disable this function if it is not needed.
The setting is configurable by fin co.
These changes are designed to provide you with more control over your plant data synchronisation.