| |
 |
| Contractor
Suite
|
|
|
|
Pre-tender
Estimation |
|
- Tender analysis - Rate
Analysis -
BOQ
entry/analysis |
|
|
| Post-tender
Estimation |
|
- Auto generated BOM, labour and
equipment estimate, project-wise and
stage-wise. |
|
- Comparisons of estimated and
actuals. |
| -
Revision
of estimates. |
|
|
| Labour
Management
|
|
- Own / hired labour management. -
Time management with OT provision. - Labour
efficiency/ utilization analysis.
|
|
|
| Sub-contractors
Billing |
|
- Tender management. - Work order
management with control aspects. - Periodical
billings of sub-contracts on M books.
|
|
|
| Purchase
& Inventory Management |
|
- Purchase order processing engaging
the control aspects with quotation entry,
analysis and vendor approval. - Material estimated
and standard consumption analysis. - Stock movement
analysis . -
Material transfer between
warehouses/sites. |
|
|
| Resource Management
|
|
- Asset purchase and
depreciation. - Asset tracking and maintenance. -
Resource utilization. |
|
|
| Site Management
|
|
- Purchase request,
material receipt
and materials issue. |
|
- Reports like stock register, stock
report, pending orders etc. |
|
- M Book, bill processing and
reports like work orders & running
bills. |
| |
| Sales/Client Billing
|
|
- Work progress monitoring. -
Interim and final billing. -
Receivables management. |
|
|
| Personnel
and Administration |
|
- Personnel information. - Travel
management. - Wages and salary processing. -
Loans/leaves/statutory labour welfare
management. -
Office stationery management. |
|
|
| Financial Accounting
|
|
- Integration with other modules-
verification and posting of different journals
from other modules. |
|
- Standard reports like real time
& retrospective trial balance,
profit &
loss account, balance sheet etc.
|
|
- Drill down facility of trial
balance, profit & loss account, balance
sheet etc. up to individual
vouchers. |
|
|
| MIS
(Management Information System) |
|
-
Project assessment report showing
health of the project in terms of
cash flow. |
|
- Consolidated final accounts
of the
group. -
Remote connectivity to MIS reports. -
Consolidated Bank/Cash balances of
the group. |
|
|
| User Administration
|
-
Layered security levels. -
User-friendly format. - Rights assignment /
borrowing. |