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首页> 外文期刊>AACE International Transactions >Developing Cash Flows through Primavera CPM Schedules
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Developing Cash Flows through Primavera CPM Schedules

机译:通过Primavera CPM计划开发现金流量

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摘要

This paper explains the step by step process to cost load Primavera schedules, develop early and late cash flow curves, as well as maintain the cash flow & reforecasting from update to update. In specific, the review involves the following technical steps: review of the schedule quality characteristics necessary for the process to be functional, cost loading the schedule through MS Excel, use of the P6 Activity Usage Profile, applying actual costs with schedule updates, reforecasting the remaining cash from update to update, and understanding the value & meaning of the early and late cash flow curves produced.
机译:本文通过步骤过程解释了成本负载Primavera计划,开发早期和后期现金流曲线,以及维护从更新更新的现金流程和重新弄脏。 具体而言,审查涉及以下技术步骤:审查流程所需的计划质量特征是功能的,通过MS Excel加载计划,使用P6活动使用配置文件,使用计划更新应用实际成本,重新造影 剩余现金从更新到更新,并了解所产生的早期和后期现金流曲线的价值和含义。

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