Name/Flag | Description |
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Add Exchange Date to TCIP and TCOB Forms CFGAddExchDatetoTCIPandTCOBForms | When enabled, a new Exchange Rate Date column will be added to the Time Charter In Payment and Time Charter Out Bill details grid, allowing you to capture a unique exchange rate date for each line item and apply a different exchange rate to each line item. The Exchange Rate Date will flow down to the Transaction Data Entry form on posting to the matching details line item. |
Use Company Lob Trade Area Hierarchy CFGUseCompanyLobTradeAreaHierarchy | Sets up a hierarchy between Company, LOB, and Trade Area on several forms. |
Clear Company Lob on Copy CFGClearCompanyLobOnCopy | Clears the Company, LOB, and Department values when copying a Voyage Fixture or contract. |
Default TC Status CFGDefaultTCStatus | Sets the default status of Time Charter contracts. |
Bill by Natural Month CFGBillByNaturalMonth | Always ends the monthly Billing Period at the 1st of the next month, so every next invoice period is a complete month; otherwise, the Billing Period is always a complete month from the delivery date. |
Use Absolute Min Max on TC CFGUseAbsoluteMinMaxOnTC | Uses the Less Days and More Days values for Min and Max Duration. |
Enable TC Operations Coordinator CFGEnableTCOpsCoordinator | Adds an Ops Coordinator field. |
Enable TC Chtr Specialist CFGEnableTCChtrSpecialist | Adds a Chtr Specialist field. The value will be copied to the TCO Contract when fixing a TCO Estimate. |
TC Joint Venture CFGTcJointVenture | Adds a Profit Sharing button to the toolbar to enable entering Owner Profit Share details manually in both TCI and TCO. These profit-sharing items will be included in the Time Charter Invoices. |
Enable TC Write Off CFGEnableTCWriteOff | Adds a Write Off field to the Hire Table in Time Charter In and Time Charter Out contracts. The Write Off amount is automatically added to the Hire on the invoice and is subject to the different commissions and Off Hire. |
Default TC Comm Payment Method CFGDefaultTCCommPaymentMethod | Sets a default Payment Method for brokers. |
Check Redel Bunker Vs Hire CFGCheckRedelBnkVsHire | Enables Alerts for partial bunker deductions, to make sure charterers can collect the value of redelivered bunkers. On the Item Select form, the Bunkers On Redelivery items are only highlighted in yellow when the value of the contractual redelivery bunkers meets/exceeds the net hire left in the contract. The calculation of this date is based on the Period To value in the Time Charter invoice. A validation warning is added to the voyage, which appears for Last TCI/TCO Voyages with end quantities that are different than the Estimated Redelivery quantities in the linked Time Charter contract. Bunkers Cost on Redelivery line items (Quantity and Amount) are editable. An Unpriced Bunkers informational check box appears on the Bunkers tab.
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Exclude TC Consumption from Bunker Calcs CFGExcludeTcConsFromBunkerCalcs | When enabled, the operations bunker calculations use the consumption rates from the Vessel form instead of those specified in a Time Charter. This can be used for performance at the end of the charter. |
Enable Vessel Bunker Grade CFGEnableVesselBunkerGrade | Specifies the Fuel Grade in a G (Grade) column on the Vessel or Time Charter In/Out form, which defaults the value on the Bunker Requirement; it can be overridden but is required for Confirmed status. |
Enable TCO Bunker on Owner CFGEnableTcoBunkerOnOwner | Adds an Owner's Account check box on the TC Out Bunkers Tab. When cleared, only ballast bunkers appear. Selecting this check box specifies that all bunkers consumed during this TC Out are on the owner's account. There will be no bunker sales to the charterer at delivery and no bunker purchases from the charterer at redelivery. Any bunkers lifted during the TC Out voyage will be on the owner's account, and bunker invoices must be paid by the owner, just like in an Own Voyage (OV).
Also, when this check box is selected, the Rebillable check box can be selected, which causes the Bunker Consumption in the voyage P&L to be net zero by adding a Rebill line for the Bunkers Consumption. This amount can be billed in the Time Charter Out Bill. |
Always Show TCO Bunker Adjustment CFGAlwaysShowTCOBunkerAdj | Causes TC Out Bunker Redelivery Adjustments to be calculated regardless of the status of the linked TC Out Fixture. |
Enable Contract Mirroring CFGEnableContractMirroring | Enables the following types of intercompany contracts to be mirrored: Cargo COA, VC In COA, Cargo, VC In, Time Charter In, Time Charter Out, and FFA/Option/Bunker Swap Trade. When a contract of one of these types is created with internal counterparties, a mirrored contract is automatically created from the opposite perspective, so that users from both legal entities can manage the contract and include it in both their operational planning and their trading exposure and P&L. When both CFGEnableContractMirroring and CFGEnableTCInvoiceMirroring are Y, and when a TC contract is mirrored, TCO invoices are mirrored from TCI invoices. Incremental invoice type is unavailable for such mirrored TC invoices. If an **OV voyage has cargoes with multiple internal charterers, it can be mirrored with multiple RELT voyages, one for each internal charterer's company.
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Flex Hire Periods CFGFlexHirePeriods | When enabled, it is possible to set overlapping hire Periods with specific accounting Codes on TC contracts. The following changes appear on the TC Pricing tab: In the Hire Rate table, a Code column appears. Possible values are blank (default), CAPEX, OPEX, and MISC. Note: The following Business Rules must be set for TC In Payment (TCIP), TC Out Bill (TCOB), and Voyage Daily Cost (VCST): TCIP:OPEX TCIP:CAPEX TCIP:MISC TCOB:OPEX TCOB:CAPEX TCOB:MISC VCST:OPEX VCST:CAPEX VCST:MISC
For hire lines with a Code specified, the Code is set as the Subcode and it is used for all relevant Business Rules. To designate a hire line item as noncommissionable, enter a noncommissionable Operations Ledger Code.
In the Lock column, a new option appears: Overlap. When selected, the From/To values of the line are editable, and it is possible to set this line as overlapping the others. Setting an overlapping line requires a different Code to be set. When an overlapping hire line is added, the overlapping Period is accounted for all across the system.
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Show Remittance in Cargo CFGShowRemittanceInCargo | Adds Remittance Bank, Invoice %, Payment Terms, and Balance % fields to the CP Terms Details, Cargo COA, Cargo, VC In COA, and VC In forms. Also adds a Remittance Bank field to Time Charter Other Information. Remittance information flows between these places; for example, fixing an Estimate will transfer the remittance information. On a Cargo COA, VC In, or Time Charter Out, changing the Company clears the remittance bank information, as this may change with a change to the Company. On a VC In COA or Time Charter In, changing the Owner clears the remittance bank information, as this may change with a change to the Owner. A default value for the Remittance Bank for each currency can be selected in the Address Bank Links tab for Cargo COA, Cargo, and Time Charter Out (Other Information) contracts, but it can be changed later.
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Enable Voyage Roles CFGEnableVoyageRoles | On the Voyage Properties panel, adds a Users section to set and view the five Key Users of the voyage: Chtr Coord (defaults from Cargo form), Ops Coord, Ops Coord 2, Controller, and FD Manager (Freight and Demurrage Manager). On a Time Charter, adds a Roles tab to set the Controller and Finance Coordinator. |
Default Claim Commission Invoice Setting CFGDefaultClaimCommissionInvoiceSetting | This flag controls the default setting for broker commissions on Claims by setting the default value of M on TC In, TC Out, Cargo, Cargo COA, VC In, and VC In COA broker grids. Possible values: 0 (default): Claims are not commissionable. 1: Claim commissions will be invoiced separately. 2: Commissions will be deducted from the Claim Invoice.
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Enforce Operations Ledger Code Commissionable Property CFGEnforceOpsLedgerCodeCommissionableProperty | When enabled, the Commissionable setting of an Operations Ledger Code alone determines whether claim and freight adjustment line items are commissionable. When enabled, the commissionable setting cannot be overridden in invoices or per broker. |
Enable Commission Sharing CFGEnableCommissionSharing | When enabled, you can share commissions between internal broker companies. For more information, see Sharing Commissions with Internal Brokers. Also adds an Internal Counterparty column to the TCO Estimate Broker table. |
Enable Broker Rules CFGEnableBrokerRules | When enabled, Cargo Broker Rules and Time Charter Broker Rules can be defined to add default brokers to contracts. Also adds Add Default Brokers to the TCO Estimate toolbar to default internal brokers by applicable rules. |
Enable Operations LOB CFGEnableOpsLOB | If enabled, displays an LOB (Line of Business) field on the Address (Type W), Estimate, Voyage Fixture, Voyage, and contract forms. |
Enable TC Lease Accounting CFGEnableTCLeaseAccounting | When enabled, the TC Lease Accounting functionality is available. |
TC Default Lease Transition Date CFGTCDefaultLeaseTransitionDate | Note: CFGEnableTCLeaseAccounting must be set to Y. The default lease transition date to use for Time Charter contracts. |
Fix Index Linked Hire Pricing Period CFGFixIndexLinkedHirePricingPeriod | When enabled, index-linked hire rate is calculated for pricing periods predetermined by hire start time and period length. Pricing periods should not be affected by individual invoicing periods. This configuration should only be enabled when CFGEnableGeneralUnpricedComponent is Y. |
Set Default TC Duration Basis CFGSetDefaultTCDurationBasis | Sets the default Duration Basis on Time Charter contracts (In and Out) from the following options: Min, Min Excl Option, Mid, and Max. |
Use Operations Dates for TCO Duration CFGUseOpsDatesForTcoDuration | When enabled, if delivery and/or redelivery ports are defined in a TCO voyage, and the TCO Fixture Duration Basis is set to Custom, the TCO revenue for the voyage will be calculated basis the delivery/redelivery dates specified in the voyage itinerary. |