**__Setting up a new Contract:__** Click Create on the Contract menu. {{:pasted:20240802-131548.png}} In the contract creation process: **Single Template Scenario**: When only one default template is configured in the system, users will be automatically redirected to the Contract Create screen upon initiating the contract creation process. **Multiple Template Scenario**: If multiple templates are available, the system will display a Contract Template Selection dialog box. Users must then: a) Choose the appropriate template from the provided dropdown menu. b) Click the "Select" button to confirm their choice. c) Upon confirmation, they will be directed to the Contract Create screen with the selected template. {{:pasted:20240802-131637.png}} __Contract Create__ Contract Structure Overview: Contract Header The Contract Header is comprised of four primary sections: a) Family Information b) Date Information c) Version Information d) Termination Information Supplementary Tabs: The contract interface includes several supplementary tabs for comprehensive management: Products, Lumpsum, Growth, Distributors, Exclusions, Backouts, Client Defined Fields, History, Notes & Attachments, Letters, Contact, Exposure, Claims Please note: During the initial contract creation process, certain tabs may be inactive or inaccessible. Full tab functionality is typically enabled as the contract progresses through various stages of development and approval. Below are the details for each section. ----- **Contract Header Information** {{:pasted:20240802-131850.png}} Contract Creation: Key Data Entry Sections When initiating a new contract, users are required to input data into three critical sections: **Family Information:** Encompasses details applicable to all subsequent renewals and amendments of the contract. Includes configuration settings for accrual reporting. **Date Information (R):** Focuses exclusively on the contract's effective start and end dates. **Version Information (A):** Contains comprehensive data pertaining to amended versions of the contract. Nomenclature Distinction: It is important to differentiate between two key identifiers: **Contract Family TITLE**: A consistent identifier that remains unchanged across all iterations of the contract. **Contract Version NAME**: A unique identifier assigned to each amended version, allowing for distinct recognition of individual contract iterations. {{:pasted:20240802-132115.png}} __Family Info__ The information displayed here applies to all renewal and amend versions of the contract. {{:pasted:20240802-132302.png}} **Contract Title:** Enter in a Title for this contract. **Contractee:** To select a Contractee, click the search button to open the Company Search. {{:pasted:20240802-132355.png}} **Company Selection Process** Company Grid Navigation: View the displayed grid containing active companies configured by the System Administrator A filter row is positioned at the top of the grid for refined searching Selection Procedure: Locate the desired company or company grouping within the grid Click the appropriate company row to highlight your selection Identify the intended contractee from the available options Confirmation: Complete the selection process by clicking the "Select" button to proceed **Note**: Only active companies that have been previously configured by the System Administrator will be displayed in this grid. {{:pasted:20240802-132536.png}} Contractee Selection and Classification Automatic Field Population: Upon selection of a contractee, the system will automatically populate two key fields: a) Contractee Company Type: Identifies the business category of the contractee (e.g., Distributor, Operator, Broker) b) Contractee Type: Specifies whether the selected entity is a: "Company Grouping" (if part of a larger group) "Company" (if operating independently) Handling Unlisted Companies: In the event that the desired company is not found in the Company Search: A new operator request can be initiated by clicking the '+' button This feature's availability is contingent upon client-specific settings **Important Note**: The majority of manufacturers restrict this option in Trade Promotion Management (TPM) systems, as per standard client configurations {{:pasted:20240802-132628.png}} Operator Request Process and Contractee Information Initiating an Operator Request: Upon clicking the '+' button, the Operator Request dialog box will appear Completing the Request: Populate all mandatory fields in the Operator Request form Click "Save" to submit the request Automatic Contractee Assignment: Upon successful submission, the newly created company will be automatically designated as the contractee for the contract in progress Accessing Contractee Details: To view the contractee's address and additional information, locate and click the Info icon (ℹ️) {{:pasted:20240802-133801.png}} Accessing Detailed Company Information Upon clicking the Info icon, the Company Information dialog box will be displayed, providing comprehensive details about the selected company: **Information Categories** Standard Fields: Basic company information Alternate Address: Secondary or additional address details Client Defined Fields: Custom fields as specified by the client Hierarchy: Organizational structure (if an aggregate grouping is defined) Company Group Exception: If a company group is selected as the contractee, the Info icon will not yield any displayable information {{:pasted:20240802-134007.png}} If there is an aggregate company grouping, the Hierarchy tab will be enabled and display a count of records. {{:pasted:20240802-133446.png}} There is an option to see Other Contract Exposure when creating a contract. After selecting a Contractee and entering Start and End dates, click the icon. {{:pasted:20240802-134138.png}} This will display the products being claimed on other contracts with that contractee for that timeframe. {{:pasted:20240802-134215.png}} The Other Contract(s) Direct Rate is a sum of the rate for all contracts with the selected contractee. Select a Contract Type by choosing a value in the dropdown. The values displayed here will depend on what is set up for the manufacturer. {{:pasted:20240802-134822.png}} **Contract Types and Payment Mechanisms** **Autopay Contracts** Feature: Enabled Payment Calendar functionality Requirement: Selection of manufacturer-defined payment frequency Application: Designed for Direct Customers or Brokers Process: TELUS TPM automatically generates claims and payments based on distributor sales data Note: No manual claims/billbacks required **Standard Contracts** Application: Compatible with all company types Process: Requires company-initiated claims/billbacks for payment processing Payment: Manual claim submission required **Off Invoice Contracts** Application: Exclusive to Direct Customers Process: TELUS TPM system generates automated claims based on distributor sales No direct payments processed Approved contracts transmitted to manufacturer's ERP Benefit: Enables distributors to receive reduced pricing on invoices **Growth Standard Contracts** Feature: Supports Growth pricing structure Claims: Manual entry permitted Requirement: Complete baseline claim data needed for growth rate calculations Restriction: Claims processing available only after contract expiration **Growth Autopay Contracts** Feature: Incorporates Growth pricing structure Claims: Generated post-contract expiration Requirement: Payment Calendar (configured in Client Settings) must extend beyond contract end date Process: Automated calculation of potential payments **Street Coupon Contracts** Purpose: Manages unit-level deals for street-level customers Implementation: Requires Account Manager involvement Note: Additional setup procedures required for program processing ----- Select a Cost Basis Type by choosing a value in the dropdown. The values displayed here will depend on what is set up for the manufacturer. {{:pasted:20240802-134738.png}} **Delivery Terms and Pricing Implications** **Delivered Option** Definition: Manufacturer assumes responsibility for product delivery to distributor location(s) Cost Structure: Includes integrated freight component in pricing Contract pricing reflects total cost inclusive of delivery Application: Select when contractual pricing encompasses complete delivery costs **FOB (Freight On Board) Option** Definition: Distributor assumes responsibility for product collection from manufacturer's facility Cost Structure: Excludes freight charges from base pricing Results in reduced overall pricing Application: Select when- Customer manages product collection independently Freight costs are excluded from contractual agreement Pricing structure specifically omits delivery charges These delivery terms directly impact the final pricing structure and should be selected based on agreed-upon distribution arrangements and cost allocation between parties. ----- **Accrual information** - go to the Accrual process section of Help ----- __Date Info__ {{:pasted:20240802-140439.png}} **Contract Date Configuration** Date Entry Process: Navigate to the Date Info section Input Start Date and End Date using either: Manual date entry Calendar selection interface Template-Based Date Restrictions: a) Date Range Templates: Contract dates must align with template-defined parameters System validation ensures compliance with specified date ranges Non-compliant dates trigger error notifications indicating acceptable date parameters b) Explicit Timeframe Templates: Start and end dates are automatically populated Fields are locked for editing during contract creation No manual date modifications permitted ----- __Version Info__ **Contract Identification: Title and Name Configuration** Initial Contract Creation Contract Title Field: Mandatory input Contract Name Field: Optional input Differentiation Scenario: If distinct identifiers are required: a) Enter unique text in both Contract Title and Contract Name fields b) Click Save to confirm entries Unified Identification Scenario: If title and name should be identical: a) Enter desired text in Contract Title field only b) Upon saving, system automatically replicates Contract Title text into Contract Name field Important Note: This auto-population feature is exclusive to the initial contract creation process Not applicable during subsequent contract editing sessions System-Generated Fields: Contract ID: Automatically assigned upon saving Contract State: Populated post-save, indicating current status {{:pasted:20240802-140850.png}} ---- **Actions** {{:pasted:20240802-140942.png}} This section contains any Actions that can be performed on the Contract. ----- **Contract Tabs Defined:** {{:pasted:20240806-125248.png}} __Contract Management: Key Functional Tabs__ **Products** Purpose: Input SKUs/Product IDs associated with the contract **Lumpsum** Function: Record event-based financial allocations Application: Ideal for transactions not requiring specific SKU tracking upon claim submission **Distributors** Relevance: Applicable to contracts with deviated rebates (indicated by blue columns on the product tab) Purpose: Designate eligible distributors for the contract **Exclusions** (Autopay contracts only) Function: Specify partial or complete exclusions of contracted business for designated companies **Backouts** (Autopay contracts only) Purpose: Define percentage-based payout reductions for specific company/product combinations **Client Defined Fields** Nature: Customizable fields as per manufacturer requirements Function: Capture contract-specific data points **History** Purpose: Comprehensive log of all contract modifications **Notes & Attachments** Function: Repository for original contract documentation and internal communications Users: Contract creators and approvers **Letters** Content: Contract type-specific correspondence options Availability: Enabled post-contract save Note: Varies by manufacturer **Contact** Purpose: Track customer communication details for future reference Fields: Email, Name, Phone Number Status: Optional information **Exposure** Content: Projected exposure, actual figures, and stacked reporting data **Claims** Function: Display all claims generated under the current contract ----- **Products** {{:pasted:20240802-141330.png}} **Product Selection Interface** Display Configuration: Location: Right-hand grid section Content: Displays manufacturer-configured: Individual Products Product Groupings Product Addition Methods: a) Single Item Selection: Left-click desired product/grouping Drag selection to left panel b) Multiple Item Selection: Hold Ctrl key: Select non-consecutive items Hold Shift key: Select consecutive items Drag selected items to left panel {{:pasted:20240802-141452.png}} To view the products within a product grouping, hover the cursor over the product grouping. {{:pasted:20240802-141753.png}} **__Product Pricing - Fixed Rate vs. Fixed Price__** Pricing Mechanisms and Product Addition **Fixed Rate Pricing** Definition: Predetermined rate per unit of measure (UOM), independent of product cost Application: Customer payment based solely on contracted rate Example: $1.50 per case rebate, regardless of purchase price Caution: $0 Fixed Rate prevents any rebate allocation **Fixed Price Pricing** Definition: Specified price for product or product grouping Rebate Calculation: Difference between fixed price and actual sales price Example: Fixed Price: $22.00 per case Actual Price: $25.00 per case Resulting Rebate: $3.00 per case Caution: $0 Fixed Price equates to providing product at no cost Monitoring: Utilize Tableau for contract verification Path: TPM Standard Reports → Contract Reports → Zero Fixed Price Contracts **Show Purchases Feature** Applicability: Direct Customer contracts only Prerequisites: a) Populated contract start and end dates b) Selected contractee Functionality: Adds products to contract Sets estimated quantity based on actual purchase quantity Activation: Click "Show Purchases" button after meeting prerequisites {{:pasted:20240802-142101.png}} **Show Purchases: Data Retrieval Process** Initial Setup: Access the Show Purchases window Configure date parameters: From Date: Beginning of desired sales period To Date: End of desired sales period Note: Date range must fall within available sales data period Data Generation: Click the "Load" button to retrieve sales information Results Display. The system will generate a grid showing: Product listings Purchase quantities Units of Measure (UOM) {{:pasted:20181126-163801.png}} **Product Selection and Contract Integration** Individual Product Selection: Activate checkbox adjacent to desired product rows Bulk Selection Options: a) Select All: Choose all displayed products b) Select None: Deselect all products c) Select Invert: Toggle selection status of all products d) Select On Contract: Highlight products currently listed on the contract's Product tab Utility: Facilitates updating estimated quantities with actual sales data Benefit: Prevents unintended addition of extraneous products Contract Integration: After finalizing product selection, click "Add Selected to Contract" button {{:pasted:20240802-142128.png}} {{:pasted:20240802-142240.png}} **Product Integration Confirmation Process** System Response: Show Purchases window automatically closes Selected products populate contract display System generates confirmation message detailing: Number of items added Number of items updated Visual Indicators Newly added rows: Highlighted Modified rows: Highlighted Status: Checkboxes automatically selected for affected rows Required Action: Review highlighted entries Validate product selections Input or adjust pricing for new and modified rows {{:pasted:20240802-142257.png}} ----- __How the estimated volume is calculated:__ **Estimated Quantity Calculation and Contract Integration** Calculation Methodology: a) Daily Purchase Quantity = Total Purchase Quantity / Number of Days in Specified Range b) Estimated Contract Quantity = Daily Purchase Quantity × Contract Duration (in days) c) Final Value: Rounded to nearest whole number Example: Annual Purchase: 810 units Daily Quantity: 2.219 units Contract Period: 01/01/2018 - 01/31/2018 (31 days) Estimated Quantity: 2.219 × 31 ≈ 69 units Contract Modification Scenarios: For existing products during edits, amendments, or renewals: a) Option to update estimated quantity with new purchase data b) Option to retain original estimated quantity Note: Pricing remains unaffected by quantity updates Unit of Measure (UOM) Considerations: System accommodates UOM discrepancies (e.g., pounds vs. cases) Automatic conversion applied when adding products via Show Purchases Product Uniqueness: Each product or product grouping limited to one entry per contract ---- **Product Grid Options** __Hide/Show Products__ To Hide/Show the Products section, click the Hide Products/Show Products button at the bottom left of the screen. {{:pasted:20240802-142531.png}} {{:pasted:20240802-142547.png}} __Select Product Rows__ The product rows can be selected by checking the individual boxes, or they can be selected by clicking Select All, Select None or Select Inverted. The Select Inverted button will check any un-checked rows and un-check any checked rows. {{:pasted:20240806-130256.png}} __Mass Update__ Click Mass Update to update multiple rows at once. First, select the products by checking the box at the beginning of the product rows. Then click the Mass Update button. {{:pasted:20240806-130333.png}} The Mass Update popup will display. First check a box to enable the field, then select/enter the values. Click Apply to update the selected products. {{:pasted:20240806-130834.png}} Estimated Quantity Adjustment Methods Volume Update Options: a) Actual Data-Based Updates-Availability: Limited to contract renewals only b) Base Data-Based Updates Process: Select estimated quantity checkbox, Choose "Base data" option, Enter percentage adjustment value Example: 50% input increases base volume by half Calculation Implementation: System applies specified percentage increase to base volume Adjustments reflect proportional changes to original quantities {{:pasted:20240806-131030.png}} Note that depending on the Claimant Type, not all fields may be available. __Delete Product__ To Delete a product, check the box at the beginning of the product row then click the Delete button on the bottom left of the screen. . {{:pasted:20240806-131044.png}} __Hidden Columns in the Product Grid__ **Grid Column Customization** Default Hidden Columns: Allow Inactive Product, Won, Competitive Info, Base Quantity, Objective Quantity Column Display Process: a) Access Settings: Position cursor within grid to activate cog icon. Click cog icon to open column settings menu b) Column Selection: Navigate to desired column names. Enable visibility by activating corresponding checkboxes {{:pasted:20240806-131247.png}} ---- **Product Grid Column Specifications** __Standard Identification Columns__: Item Identifier-Purpose: Product SKU reference number __Item Name-Purpose__: Product description __Item Type-Options__: Product or Product Grouping __Unit of Measure (UOM)-Specification__: Manufacturer-defined options Note: Determines contract pricing basis __Item Price-Purpose__: Reference price only Note: Not reflective of contract-specific customer pricing __Volume-Related Columns__: 6. Estimated Quantity-Purpose: Projected volume for contract duration Impact: Critical for accurate reporting __Lift Quantity-Feature__: User-editable field-Purpose: Record expected incremental volume __Base Quantity-Nature__: Non-editable-Source: Data feed population post-save-Purpose: Projects non-promotional sales volume __Direct Rebate Columns (Blue)__: 9. Rebate Direct Value Type-Options: Numeric or Percent-Application: Contractee-specific deals-Scope: Based on direct manufacturer purchases __Rebate Direct Value-Purpose__: Specifies rebate amount/percentage-Format: Based on selected value type __Rebate Direct Type-Options__: Fixed Rate or Fixed Price-Impact: Determines rebate calculation method __Deviated Rebate Columns (Pink)__: 12. Rebate Deviated Value Type-Options: Numeric or Percent-Application: Distributor-specific deals-Scope: Based on contractee sales __Rebate Deviated Value-Purpose__: Specifies rebate amount/percentage-Format: Based on selected value type __Rebate Deviated Type-Options__: Fixed Rate or Fixed Price-Impact: Determines rebate calculation method __Additional Tracking Columns__: 15. Allow Inactive Product-Purpose: Product Grouping management-Function: Controls inactive product eligibility __Won-Purpose__: Bid tracking-Impact: Affects Probable Exposure calculations-Access: Editable by authorized users __Competitive Info-Purpose__: Bid winner tracking __Access__: Editable by authorized users __Growth Contract Specific Columns-Rebate Growth Value Type-Options__: Numeric or Percent __Rebate Growth Type-Options__: Fixed Rate or Fixed Price __Growth Button-Purpose__: Configure tiered growth programs-Reference: See Growth Programs documentation for details ----- **Forecast Information** For clients who send Forecast information and have the client setting checked, additional columns will be available in the Contract Product grid. {{:pasted:20180712-123749.png}} **Forecast Quantity Integration and Calculation** Forecast Quantity Display Prerequisites: - Contractee selection - Contract start and end dates specification - Product selection from Forecast file - Contract must be saved for display/update Calculation Methodology: a) Daily Quantity = Total Forecast Quantity / Number of Days in Forecast Period b) Contract Forecast Quantity = Daily Quantity × Contract Duration (in days) Example: Forecast: 50 units for 01/01/2018-02/28/2018 (59 days), Daily Quantity: 50 / 59 ≈ 0.84 units/day, Contract Period: 01/01/2018-01/31/2018 (31 days), Contract Forecast Quantity: 0.84 × 31 ≈ 26.27 units Unit of Measure (UOM) Considerations: System performs automatic UOM conversion if contract and forecast UOMs differ Product Grouping Calculations: Forecast quantity represents sum of all products within grouping Exclusion mechanism: Prevents double-counting when individual products and their grouping are on the same contract Company Grouping Aggregation: For Company Grouping contractees, forecast quantity represents sum of all constituent companies Uptick Column: Purpose: Displays variance between Estimated Quantity and Forecast Quantity Mass Update Feature- Function: Aligns Estimated Quantity with Forecast Quantity Process: Select relevant product rows and click "Mass Update" Options: Set Estimated Quantity equal to or increased from Forecast Quantity {{:pasted:20181120-143831.png}} **Forecast Quantity Modification Process** Row Activation: * Enable modification by selecting Estimated Quantity checkbox * Choose "Forecast Data" from Modification Type options Quantity Adjustment: * For exact forecast matching: Enter 0.00% * For percentage increase: Enter desired percentage value Finalize changes: Click "Apply" button Critical Update Requirements: System requires contract save for Forecast Quantity updates when modifying: * Contractee * Start Date * End Date * Product additions/removals * Product Grouping additions/removals * Unit of Measure (UOM) changes ----- **Product Grouping Pricing Options** **Product Grouping and Pricing Hierarchy Management** Pricing Precedence Principle: Lowest-level pricing takes priority * Application: Add both Product Grouping and specific products/subgroups when differentiated pricing is required Zero-Rate Implications: * Scenario: $0 Fixed Rate applied to lower-level items * Result: Generates "Explicit Contract Rate Zero" pending/reject reason * Scope: Affects specific SKU or subgroup members only * Benefit: Allows payment for other products within parent grouping Product Hierarchy Verification: * Method: Hover mouse over product group name * Display: Pop-up list of group members * Interpretation: Absence of pop-up indicates empty product grouping * Implication: Contract pricing will not apply to any products Empty Grouping Caution: Risk: Pricing on contract may not be applied as intended Recommendation: Verify product group contents before finalizing contract ----- **Competitive Info** Add data to the Competitive Info section to track data for the manufacturer who won the bid. {{:pasted:20240806-134612.png}} Don't forget to click Save! ----- __LumpSum Tab__ {{:pasted:20240806-134714.png}} **Lump Sum Allocations: Non-SKU Based Funding** The Lump Sum tab allows for the allocation of funds to contractees that are not associated with specific SKUs. This feature provides flexibility for non-product-based financial arrangements. Process: * Locate eligible lump sums on the right panel, as configured by your Administrator. * Drag desired lump sums to the left panel. * Provide a description and specify the amount for each lump sum. * Add multiple lump sums as needed. Each addition will increase the contract's Probable Exposure. Note: Lump sums can be added multiple times within a contract. Each instance requires a unique, manually entered description. **Product-Level Allocation (Optional Feature)** For clients requiring all expenditures to be allocated at the product level, lump sums can be distributed across products by percentage. This functionality is governed by a client-specific setting. When enabled: * Add lump sum events as usual. * Product Allocation columns will appear at the end of the grid. * Allocate percentages of the lump sum to relevant products. {{:pasted:20240806-134757.png}} **Configuring Product Allocations** * Select "Open" to access the allocation settings * In the Lump Sum Product Allocation window, locate and click the "Add Products" button at the bottom of the interface {{:pasted:20240806-134947.png}} **Product Allocation Configuration** * Select the relevant products for allocation from the product list * Click "Select" to import the chosen products * Specify the allocation percentage for each selected product {{:pasted:20240806-135054.png}} **Product Selection Tabs** * Contract Products Tab: Displays products currently associated with the active contract. * All Products Tab: Shows the complete product list as defined in the contract's source template. {{:pasted:20240806-135449.png}} **Allocation Requirements and Constraints** * Total allocation must sum to 100% for successful saving * Minimum allocation per product: 1% * Maximum number of products allowed: 100 * Zero percent (0%) allocations are not permitted * Quick Allocation: Use the "Allocate Evenly" button to automatically distribute percentages equally across selected products. {{:pasted:20240806-135319.png}} Click OK to save the data. {{:pasted:20240806-140519.png}} **Removing Product Allocations** * Select the target allocation row in the Lump Sum Product Allocation window * Click "Delete Selected" to remove the highlighted allocation {{:pasted:20240806-140535.png}} ---- __Distributors Tab__ {{:pasted:20240806-140603.png}} **Distributor Eligibility for Deviated Pricing Contracts** When establishing contracts with deviated fixed rates or pricing, designating authorized distributors ensures accurate validation of billback claims and rebate eligibility. Available Distributor Views: * Distributors Tab-Displays individual operating companies (OpCos),Lists location-specific details including city and state, Enables selection at the individual facility level * Distributor Groupings Tab-Shows corporate-level distributor entities, Allows efficient selection of multiple locations under one corporate umbrella Example: Selecting a corporate group (e.g., Sysco Corporation) automatically includes all associated OpCos {{:pasted:20240806-140646.png}} {{:pasted:20240806-140708.png}} ---- __Exclusions Tab__ **Contract Exclusions Management** Purpose: Exclusions modify standard contract rates for specific entities within the contract, accommodating tiered memberships or existing manufacturer agreements. These adjustments can range from reduced rates to complete payment exclusions. Example Scenario: * In buying group contracts with tiered memberships. Some distributors may receive 50% of the standard contract rate, others may be excluded from payments due to pre-existing manufacturer agreements * Configuration Process: Company-Level Exclusions-Use the filter tools to locate the company- Select and drag the company row to the grid * Specific Exclusions- Company-Product: Select both company and product rows, Company-Product Grouping: Select company and relevant product group * Drag selected combinations to the grid {{:pasted:20240806-141903.png}} **Exclusion Configuration Results** * Upon successful entry, the grid will display: * Company details * Product information * Percentage adjustment fields for each entry row {{:pasted:20240806-142026.png}} **Reduction Percent** Rate Reduction Calculation Guide The entered reduction percentage decreases the standard contract rate proportionally. Example: * Standard Contract Rate: 4% * Desired Rate: 3% * Required Reduction: 25% Formula: To achieve a lower target rate, enter the percentage reduction that will decrease the standard rate to the desired level. ---- __Backout Tab__ **Backout Configuration for Cross-Contract Volume Adjustments** Purpose: Backouts adjust earnings on the current contract based on volume claimed under separate contracts. This mechanism ensures accurate financial reconciliation across multiple agreements. Scenario Example: * USF Corp contract backout for Outback Corp on cheese products: * Any cheese volume claimed on Outback billbacks by USF distributors * During the USF Corp contract period * Will be deducted from earnings on the USF Corp contract Configuration Process: Company-Level Backouts * Utilize filter tools to locate the relevant company * Select and drag the company row to the grid * Specific Backouts * Company-Product: Select both company and product rows * Company-Product Grouping: Select company and applicable product group * Drag selected combinations to the grid {{:pasted:20240806-142059.png}} **Backout Entry Results** Upon completion, the grid displays: * Company information * Product details * Percentage adjustment fields per row {{:pasted:20240806-142130.png}} **Reduction Percent** Backout Rate Calculation Guide The entered reduction percentage decreases the standard contract rate proportionally for backout calculations. Example: * Standard Contract Rate: 4% * Desired Backout Rate: 3% * Required Reduction: 25% Formula: To achieve the target backout rate, enter the percentage reduction that will decrease the standard rate to the desired level. Note: The reduction percentage represents the proportion by which the original rate should be decreased, not the final backout rate itself. This ensures accurate adjustment of earnings based on cross-contract volume claims. ----- __Client Defined Fields Tab__ **Custom Contract Fields (User Defined Fields)** Your organization may implement custom tracking fields to capture contract-specific information: Field Requirements: * Required fields are marked with a red asterisk (*) * Unmarked fields are optional Note: These customizable fields are configured according to your organization's specific requirements and can be set as either mandatory or optional based on business needs. ---- __History Tab__ {{:pasted:20240806-142233.png}} **Contract Audit Trail** This section provides a comprehensive chronological record of all contract-related activities. Tracked Information: * Contract submissions * Approval or rejection events * Amendments * Renewals * Other significant contract actions Each entry in the audit trail includes: * User identification (Who) * Action description (What) * Timestamp (When) This detailed log ensures full transparency and accountability throughout the contract lifecycle. ---- __Notes & Attachments Tab__ {{:pasted:20240806-142332.png}} **Notes and Attachments: Cross-Version Continuity** Key Features: * Notes and attachments persist across all versions of a contract * The Identifier column specifies the originating contract version for each entry * This continuity ensures comprehensive documentation throughout the contract's evolution. Adding New Entries: To include additional notes or attachments, select the "Add" button located at the bottom left of the interface. This functionality maintains a cohesive record of all relevant information, regardless of contract version. {{:pasted:20240806-142345.png}} **Note Editor and Attachment Management** Note Creation: * Enter text directly or paste from external sources * Apply formatting using available toolbar options * Optional: Notify specific users via email functionality Attachment Process: - Access attachment interface via "Update Files" button - Select file(s) for upload using system dialog - Confirm selection with "Open" Key Features: * Multiple attachments supported per note * Batch file upload capability * Rich text formatting options * User notification system {{:pasted:20240806-153128.png}} **Additional Attachment Options and Notifications** Alternative File Upload Method: * Drag and drop files directly from your local folders to the "Draft Files" area * This method offers a streamlined approach to file attachment User Notification: - To alert relevant parties about the new note: - Locate and click the "Notify Accounts" button - Select appropriate recipients from the available list {{:pasted:20240806-142806.png}} **Recipient Selection for Note Notifications** Accessing the Selection Interface: * The "Select Accounts" window provides user notification options Recipient Search and Selection: - Utilize the top row filter to search for specific users - Highlight desired recipient rows for selection - For multiple selections: Use Shift key for contiguous selections, Use Ctrl key for non-contiguous selections {{:pasted:20240806-142840.png}} **Finalizing Note Creation and Notification** Confirmation of Notified Users: * Selected recipients appear at the top of the Note Editor interface Saving and Display: * After completing note content, adding attachments, and selecting recipients, click "Save" * The Notes & Attachments grid will update to reflect: Formatted text as entered in the Note Editor and a count of associated attachments in the dedicated column {{:pasted:20180712-105900.png}} **Note and Attachment Options** Cancellation: * Select "Close" to exit without saving changes Flexibility in Documentation: * Notes and attachments can be added independently * Neither field is mandatory Options include: * Note only * Attachment only * Both note and attachment ----- __Letters Tab__ **Post-Approval Contract Communications** Contract Letters Distribution System Two Types of Notification Letters: * Contractee Letters: Communicate pricing and rebate details * Distributor Billback Letters: Detail rebate structures * Incorporates Private Label Group logic * Products in Private Label Groups appear only on relevant distributor letters Navigation Features: * Advanced filtering options at grid top * Sortable columns for efficient company letter location Note: Private Label Group products are exclusively visible on letters to distributors within their designated groups, ensuring confidentiality and appropriate information distribution. {{:pasted:20240806-153451.png}} **Accessing Contract Letters** For detailed information on letter construction, please refer to the Client Letter Administration guide. [[client_letter_admin]] Post-Approval Letter Retrieval Process: - Once the contract is approved, locate and click the "Download" button - In the resulting "Letter Downloaded" window: Use the dropdown menu to select the desired letter {{:pasted:20240806-153528.png}} **Optional Letter Customization** Additional Verbiage Feature (If Enabled): * Supplementary text sections appear in the dropdown menu * Custom text entry is optional * Add specific content as needed * Leave blank if no additional text is required Note: This feature's availability is determined by manufacturer-specific letter settings and may not be accessible for all contracts. {{:pasted:20240806-153557.png}} **Letter Generation and Access** Export Format: * PDF is the sole available format for letter export Generation Process: - Click "Generate Report" to initiate letter creation - The system will process the request Accessing the Generated Letter: * Upon completion, a hyperlink appears in the Generated Reports window * Click the hyperlink to open and view the PDF letter {{:pasted:20240806-153651.png}} {{:pasted:20240806-153746.png}} **Exiting Letter Download Interface** To return to the main interface: * Select the "Close" button located in the bottom right corner This action will close the download window and return you to the previous screen. {{:pasted:20240806-153802.png}} ----- __Contact Tab__ **Contract Contact Information** This section provides key details for the primary contact associated with the contract: * Name * Email address * Phone number Purpose: To maintain a centralized record of the key contact for this agreement. This information facilitates: * Efficient communication during the contract's active period * Streamlined renewal processes * Continuity in contract management By keeping this information readily accessible, you ensure smooth communication channels throughout the contract lifecycle. {{:pasted:20240806-153913.png}} ----- __Exposure Tab__ **Exposure Generation** To calculate contract exposure: * Locate and select the "Generate" button in the bottom right corner This action initiates the contract exposure calculation process. {{:pasted:20240806-154442.png}} **Exposure Data Generation and Display** Process Results: * System generates exposure calculations and stacked data * Information is organized across multiple tabs Volume Management: For contracts with extensive company listings: * System will prompt for data limitation * Use company name dropdown to select specific companies for display * This feature allows for focused analysis of relevant data sets Note: This selective display capability ensures efficient system performance while maintaining access to critical information. {{:pasted:20240806-154605.png}} {{:pasted:20240806-154803.png}} **Exposure Analysis Overview** Summary Tab Contents: * Exposure projections * Actual figures * Remaining amounts For a comprehensive understanding of the Exposure tab and its calculations, please refer to the "Probable Exposure Explained" section in the Help Documents. ----- __Claims Tab__ {{:pasted:20240806-154920.png}} **Contract Claims Management** Claims Overview: This section displays all claims associated with the current contract version. Accessing Claim Details: * Click on the hyperlinked Claim ID to view comprehensive claim information Submitting a New Claim: * Locate and select the "New" button at the bottom left of the interface __Saving your Contract__ {{:pasted:20240806-155024.png}} **Finalizing Contract Actions** Save Contract: * Click "Save" in the Actions box (top right) * Contract will be stored in Draft status Contract Removal: * If contract creation was unintended, select "Revert" * This action discards all entered information Note: Ensure all required information is accurate before saving or reverting, as these actions directly affect contract status. ---- __Submitting your Contract__ {{:pasted:20240806-155230.png}} **Contract Submission Process** When the contract is finalized and ready for review: - Locate the "Submit" button in the top right corner - Click "Submit" to initiate the approval process System Actions: * Contract status changes from "Draft" to "Submitted" * Approval process is activated Confirmation: * A notification will appear, confirming the submission * The current contract status will be displayed This action moves the contract into the formal review and approval workflow. -----