3.2 KiB
3.2 KiB
Reports Index
Ce dossier contient les specifications fonctionnelles detaillees des rapports comptables et financiers.
Chaque sous-dossier correspond a un domaine de reporting. Les rapports doivent rester independants du modele technique de donnees tant que le mapping ERP / CTRM n'est pas defini.
Domaines
| Dossier | Domaine | Role |
|---|---|---|
GL/ |
General Ledger | Grand livre, journaux, mouvements comptables |
STATUTORY/ |
Statutory Financial Reporting | Etats financiers statutaires et balances |
AR/ |
Accounts Receivable | Clients, factures, paiements, ageing |
AP/ |
Accounts Payable | Fournisseurs, factures, paiements, ageing |
CASH/ |
Banking and Cash Management | Banque, tresorerie, paiements, rapprochement |
FX/ |
Foreign Exchange | Expositions, gains/pertes realises et latents |
TRADING/ |
Trading and Positions | Positions, MTM, P&L trading |
ANALYTICS/ |
Analytical Accounting | Profit center, trading desk, marges |
Suivi des specifications
| Code | Rapport | Dossier | Statut |
|---|---|---|---|
| GL-001 | General Ledger | GL/ |
A revoir |
| GL-002 | Accounting Journals | GL/ |
Brouillon avance |
| FIN-001 | Comparative Balance Sheet | STATUTORY/ |
Brouillon avance |
| FIN-002 | Comparative Profit and Loss Statement | STATUTORY/ |
Brouillon avance |
| FIN-003 | Trial Balance | STATUTORY/ |
Brouillon avance |
| AR-001 | Customer Balance Report | AR/ |
Brouillon avance |
| AR-002 | Customer Ageing Report | AR/ |
Brouillon avance |
| AR-003 | Customer Account Movements | AR/ |
Brouillon avance |
| AP-001 | Supplier Balance Report | AP/ |
Brouillon avance |
| AP-002 | Supplier Ageing Report | AP/ |
Brouillon avance |
| AP-003 | Supplier Account Movements | AP/ |
Brouillon avance |
| CASH-001 | Bank Ledger | CASH/ |
A creer |
| CASH-002 | Cash Position Report | CASH/ |
A creer |
| CASH-003 | Payment History | CASH/ |
A creer |
| FX-001 | FX Exposure Report | FX/ |
A creer |
| FX-002 | Realized FX Gains and Losses | FX/ |
A creer |
| FX-003 | Unrealized FX Gains and Losses | FX/ |
A creer |
| TRD-001 | Open Trading Positions | TRADING/ |
A creer |
| TRD-002 | Mark-to-Market Valuation | TRADING/ |
A creer |
| TRD-003 | Trading Profit and Loss | TRADING/ |
A creer |
| ANA-001 | Profitability by Profit Center | ANALYTICS/ |
A creer |
| ANA-002 | Profitability by Trading Desk | ANALYTICS/ |
A creer |
| ANA-003 | Margin Analysis | ANALYTICS/ |
A creer |
Gabarit conseille
# CODE-NNN Report Name
## 1 Objective
## 2 Users
## 3 Frequency
## 4 Parameters
## 5 Filters
## 6 Sorting
## 7 Grouping
## 8 Output Structure
## 9 Estimated volume
## 10 Export formats
## 11 Controls / reconciliation rules
## 12 Open questions
Regles de redaction
- Utiliser les parametres standard de
Docs/reporting_parameters.mdquand ils s'appliquent. - Respecter les conventions de champs, montants, signes et tris de
Docs/reporting_standards.md. - Ajouter les colonnes de sortie avec des noms techniques stables, en anglais et en snake_case.
- Placer les questions ouvertes dans la fiche du rapport plutot que dans des notes separees.
- Ne pas melanger specification fonctionnelle et implementation SQL tant que le mapping de donnees n'est pas disponible.