Work Order Reporting
The main process Work Order
Reporting is used in IFS Maintenance. This process is used both for internal and
external maintenance. When
using internal maintenance, you have your own employees in the business who have
knowledge of maintaining the objects within the company. By external
maintenance we mean all kind of service or maintenance performed against a
customer and his objects.
The Work Order Reporting contains the following steps: 
  - Before you conclude the work
    on the work order, report-in the actions, time, external costs, and unissued
    parts that not were used, and fill-in the date when the work order was
    completed. 
- Authorize the time and the external costs
    transactions. You might also need to handle fixed price postings if this is
    used. If the work order is created with 
	the VIM connection type (i.e., for a maintenance order distributed 
	from IFS/Vehicle Information Management), you can choose to create revenue 
	transactions for the corresponding maintenance order. 
- Repairs are handled after that
    the work have been performed. Either you should place them back into the
    facility or place them in inventory.
- If the work was made against a
    customer you may also transfer all transactions to customer order to send an
    invoice on the work. Note: It is 
	very important to note that a work type is entered in the work order if the 
	control type C54 is used in the company. If a work type is not entered, the 
	user can post the cost of the work order to the code part set in the 
	Default Value No CT Value field. It is advisable for customers who are 
	always using work types in work orders to make the Work Type field 
	mandatory. 
- Conclude the work order. It is
    now you can all the reporting codes to classify the work in a more detailed
    way. This will later on in the analysis give a more dynamic possibility in
    analyzing your maintenance. 
- Once the reporting is done, the financial manager
    creates a voucher. Voucher
    updates are conducted from a hold table in IFS/Accounting Rules™. All
    vouchers generated in any of the modules are placed in the hold table and
    then updated to the general ledger. The item becomes fully traceable from
    here.