Changeset - 52882530cfba
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Bradley Kuhn (bkuhn) - 10 years ago 2013-11-15 00:10:45
bkuhn@ebb.org
Completed Evaluation Template

I believe I got all the use cases into one place here.
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## Evaluation of [Reporting|UseCases/GeneratingReports] UseCases
 
- [[Trial Balance Report|UseCases/GeneratingReports#trial-balance]]: FIXME
 
- [[Bank Reconciliation Report|UseCases/GeneratingReports#bank-reconcilation]]: FIXME
 
- [[Chart of Accounts|UseCases/GeneratingReports#chart-of-accounts]]: FIXME
 
- [[Cash Disbursements Journal|UseCases/GeneratingReports#cash-disbursements]]: FIXME
 
- [[Income Report|UseCases/GeneratingReports#income-report]]: FIXME
 
- [[Expense Report|UseCases/GeneratingReports#expense-report]]: FIXME
 

	
 
## Evaluation of [Reporting|UseCases/GeneratingReports] UseCases for Fund Accounting
 

	
 
Can each of these reports be generated, confined to a specific temporarily
 
restricted asset type?
 
   
 
- [[Trial Balance Report|UseCases/GeneratingReports#trial-balance]]: FIXME
 
- [[Bank Reconciliation Report|UseCases/GeneratingReports#bank-reconcilation]]: FIXME
 
- [[Chart of Accounts|UseCases/GeneratingReports#chart-of-accounts]]: FIXME
 
- [[Cash Disbursements Journal|UseCases/GeneratingReports#cash-disbursements]]: FIXME
 
- [[Income Report|UseCases/GeneratingReports#income-report]]: FIXME
 
- [[Expense Report|UseCases/GeneratingReports#expense-report]]: FIXME
 

	
 
## Evaluation of [[Fund Accounting|UseCases/FundAccounting]] UseCases
 

	
 
- [[Fund-only View|UseCases/FundAccounting#fund-view]]
 
- [[Funds as part of whole org View|UseCases/FundAccounting#fundless-view]]
 
- [[Ignore Funds for operations|UseCases/FundAccounting#fundless-view]]
 

	
 
## [[UseCases/Collaborating]] evaluation
 
- [[Simultaneous Editing of Ledger|UseCases/Collaborating#simultaneous-ledger-edits]]: FIXME
 
- FIXME: Other uses cases need rewrite.
 

	
 
# Evaluation of [[Double-entry Accounting|UseCases/DoubleEntryAccounting]] UseCases
 

	
 
- Does the system implement pure double-entry accounting?
 

	
 
# Evaluation of [[TrackingDocumentation|UseCases/TrackingDocumentation]] UseCases
 

	
 
- Does the system [[link up to external documentation|UseCases/TrackingDocumentation#document-link-up]]?
 

	
 
- Does it have a [[the ability to explore transactions via documentation linkage|UseCases/TrackingDocumentation#document-link-explore]]?
 

	
 
# Evaluation of [[Handling multiple currencies|UseCases/MultiCurrency]] UseCases
 

	
 
- Does it support the concept of
 
  [[a single functional currency|UseCases/MultiCurrency]], while still
 
  permitting multi-currency entries?
 

	
 
# Evaluation of [[draft transaction|UseCases/DraftTransactions]] UseCases
 

	
 
- Does the system allow
 
  [[generally for draft transactions|UseCases/DraftTransactions#draft-general]]
 
  that can be later approved before officially being posted to the books? 
 

	
 
## Evaluation of WorkFlow UseCases
 
- [[Unaccrued Invoice|UseCases/WorkFlow#unaccrued-invioice]]: FIXME
 
- Is a [[specific workflow dictated by the system|UseCases/WorkFlow#workflow-dictated]] ?
 
- Is a [[the workflow configurable|UseCases/WorkFlow#workflow-configurable]] ?
 
- [[Unaccrued Invoice|UseCases/WorkFlow#unaccrued-invioice]] ?
 

	
 
# Evaluation of the [[Reading and Reporting API|UseCases/ReadingAPI]]
 

	
 
FIXME: This is assessment of what the API for manipulating the accounting
 
data does, so I think it's tough to do it as a list of questions.
 

	
 
# Evaluation of the [[Storage API|UseCases/StorageAPI]]
 

	
 
FIXME: This is assessment of what the API for storing the accounting data
 
does, so I think it's tough to do it as a list of questions.
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