Data Analytics Class Project
Project Assignment
Pixystems Toys Information
Pixystems Toys is a leading manufacturer and distributor of children’s toys across the globe through third party distributors (non-company owned stores) and through their flagship store located in New York. The company is headquartered in Cleveland, Ohio, and has manufacturing locations in Brazil, China, Mexico, and across the United States. Product development is also done in Cleveland with new products released every six months. The majority of the toys manufactured by Pixystems are top sellers that are sell outs during holidays. Some of their most wellknown products include: toy cars, plush dolls, and electronic games.
The company does all back office processing at their headquarters where they have shared service centers for accounts payable (AP), payroll, and inventory management. These shared service centers handle processing of transactions related to these processes across the globe driving a consistent process and controls. Customer sales are managed at the flagship store by the local sales team while online sales and sales to distributors are handled at headquarters.
Pixystems recently hired a new CFO who is focused on improving the financial performance of Pixystems and improving operational efficiency in AP, payroll, inventory, and sales. She has challenged each of the managers of these business processes to identify areas for improvement and quickly address errors. Internal audit has also been working closely with the CFO, managers, and external auditors to identify control gaps, areas of non-compliance, and operational efficiencies.
The CFO has also engaged you to review these business processes using Pixystems’ data and performing analytics. She would like you to make any necessary recommendations, identify data issues, and provide her and the managers with insights gained through your analytics. During your last meeting, she shared the following information with you:
Accounts Payable:
• The Internal Audit team has identified errors within AP that are negatively affecting working capital. The root cause of these errors has not yet been determined but is thought to be a control gap that will need to be addressed by the AP manager and subsequently tested by the external auditor.
• Cash flows have not been consistent over the past year. Pixystems sees the majority of sales taking place around holidays and uses a retail fiscal calendar to accommodate the cyclical nature of sales.
• At least two inaccurate payments to key vendors have been identified by the AP manager and monitoring for duplicate or erroneous payment is not conducted.
• Payments within terms are also not monitored and leverage of discounts is not reviewed to ensure quantity levels have been met and Pixystems receives the appropriate discounts.
Payroll:
• Majority of employees working at headquarters and managers at the manufacturing locations are salary employees and not entitled to overtime (twice hourly rate) payments. All other workers should be paid hourly.
• Payroll is paid to salaried employees on the 1st and 15th of each month through direct deposit. Hourly employees are paid bi-weekly (every two weeks).
• Executive team receives an annual bonus each year which is paid at the end of the year. The amount is dependent on the employees overall performance ranking and Pixystems’ performance as a whole.
• Average annual employee pay increase is between 3-5% for salaried employees
Inventory:
• Inventory levels of finished goods at the flagship store are set by headquarters with sales and marketing consultation.
• Finished goods inventory is owned by the manufacturing facility until loaded on a truck (FOB Shipping Point) to a distributor or sent to the flagship store which then takes ownership.
• Online sales directly to customers are sent from the manufacturing facility
• Physical inventory is taken once a year and the completion of cycle counts is at the discretion of the facility manager.
• Adjustments to inventory levels due to spills, damaged goods, old age, etc. are done once per month and are approved by the facility manager and headquarters.
Customer Sales:
• Distributors must place orders from Pixystems with a minimum of a month lead time. Special and expedited orders must be approved by headquarters.
• Available inventory levels for direct customer sales are communicated via the online ordering system which allows customers to order up to the quantity available at the manufacturing facility or distribution center.
• Sales representatives are assigned to specific distributors and are responsible for both increasing sales and managing the relationship Pixystems has with the distributor.
• Promotions and discounts must be approved by sales and marketing
• Sales are highest around the holiday and certain toys quickly become out of stock.
Data Overview
Following is a high-level summary of the data IT has provided for your analysis.
Customer Table
Field Description
Customer ID SAP generated unique identifier for each customer
Customer Name Name of the customer
Customer Address Customer’s location – address
Customer City Customer’s location – city
Customer State Customer’s location – state
Customer Zip Customer’s location – zip
Sales Rep Name of the sales representative assigned to the customer
Employee Table
Field Description
Employee ID SAP generated unique identifier for each employee
User ID Employee user id
First Name Employee first name
Last Name Employee last name
Hire Date Date the employee was hired
Termination Date Date of employee’s last working day
Work Location Location where the employee works
Job Title Employee’s job title
Medical Plan ID of the medical plan selected by the employee
Medical Start Date Date medical plan became effective
Savings Plan ID of the savings plan selected by the employee
Savings Start Date Date savings plan became effective
Approval Level Dollar amount the employee can approve
Salary Amount Total annual salary for employee
Hourly Amount Rate per hour
Type Salary or hourly employee
Pay Frequency How frequently employee is paid
Bonus Employee eligibility for bonus payment
Finished Goods On-Hand Table
Field Description
Location ID Location of the finished goods
Detailed Location ID Detailed bin location within the facility where the goods are stored
Finished Item # Item number for specific finished good
Description Description of the finished good
Quantity Amount of product within the location available for sale
Date Received Date the product was received from factory and ready to sell
Min Level The minimum level of inventory to be maintained of the good
On-hold Notes if the inventory is on-hold for a specific reason
Formulas Table
Field Description
Formula Name of the formula
Raw Material #1 – #5 Item numbers from the raw material table that are used to make the finished good
Quantity #1 – #5 Amount of each raw material that is used to make the finished good
Inventory Adjustments Table
Field Description
Date Date the adjustment was made
Location Location where the adjustment should be applied
Detailed Location Bin where adjustment should be applied
Raw Material # Item number associated with the raw material if the bin holds raw materials
Finished Goods # Item number associated with the finished goods if the bin holds finished goods
Adjustment Quantity that is being adjusted
Adjustment Reason Reason for variance in inventory
Approver Name of the person approving the adjustment
Inventory Count Table
Field Description
Date of Count Date the physical count took place
Location Location of count
Detailed Location Bin that was counted
Item # Raw material or finished good item number
Quantity Counted Amount of the item physically counted
Quantity Expected How much should have been in the bin
Difference Difference between what was counted and expected
Counter Person who performed the count
Approver Person who approved the count
Invoice Table
Field Description
Invoice # Vendor issued invoice number
Vendor # Unique vendor number generated by SAP
Invoice Date Date invoice was generated by the vendor
Item Item number
Item Quantity Amount of the item
Item Cost Cost of the item per unit
Extended Cost Quantity * Item Cost
Freight Cost Cost to ship
Total Cost Extended Cost + Freight Cost
Processor ID Name of the person who processed the invoice
Associated PO Purchase order used to purchase item
Associated Receipt Receipt number associated with goods from invoice
Payment Terms Terms the vendor expects payment in as noted on the invoice
Discount Discount provided if paid within terms
Location Table
Field Description
Location ID XYZ location ID
Location Name Name of XYZ location
Country Country where the location is
Type Type of location
Medical Plan Table Data
Field Description
Medical Plan ID of medical plan
Plan Description Description of medical plan
Deductible Monthly deductible due from employee
Payment Table Data
Field Description
Payment ID SAP generated unique identifier for each payment
Vendor Vendor Name
PO # SAP generated unique purchase order number associated with payment
Receipt # SAP generated unique receipt number associated with payment
Invoice # SAP generated unique invoice number associated with payment
Payment Amount Total amount of payment
Check # XYZ check number used for payment
Payment Type Type of payment (check #/wire #)
Wire # Wire transfer number associated with payment
Payment Date Date of payment
Processor ID User ID processing payment
Payroll Table Data
Field Description
Pay Type Weekly, bi-weekly, monthly, bonus
Date of Payment Day payment was made
Employee ID Employee’s unique ID
Employee Type Type of employee – Hourly or Salary
Pay Base payment amount; Amount earned
Medical Deduction withheld for medical payment
Savings Percentage withheld for savings selection
Tax Amount of tax paid by the employee
Total Pay Pay minus medical, savings, and tax
Purchase Order Table
Field Description
PO # SAP generated unique purchase order number
Location XYZ location making purchase
Item Item number
Description Item description
Item Quantity Quantity of item to be purchased
Unit Cost Item cost per unit
Total Amount Item quantity * unit cost
Vendor # SAP generated unique identifier for each vendor
Creator ID User id creating the PO
Creation Date Date the PO was created
Creation Time Time the PO was created
Approver ID User id approving the PO
Approver Date Date the PO was approved
Approver Time Time the PO was approved
Raw Materials On-Hand Table
Field Description
Location ID Location of the finished goods
Detailed Location ID Detailed bin location within the facility where the goods are stored
Raw Item # Item number for specific raw material
Description Description of the finished good
Quantity Amount of product within the location available for sale
Date Received Date the product was received from factory and ready to sell
Receipt Table
Field Description
Receipt ID SAP generated unique identifier for receipt
Location XYZ location receiving goods
Date Date items received
Time Time items received
Item # Item number associated with items received
Item Quantity Quantity of items received
Truck # Associated truck number carrying items
Receiver ID User id of person receiving goods
Vendor # SAP generated unique identifier for each vendor
PO Number Purchase order number
Sales Table
Field Description
Order ID Sales order ID generated by SAP
Order Date Date XYZ received the sales order
Customer ID Customer number uniquely identifying the customer
Item # Finished good item the customer ordered
Quantity Amount of the finished good the customer ordered
Price Price of the finished good item the customer ordered
Promotion Promotional price if product ordered as part of a promotion
Freight Freight cost to ship order
Total Price PriceQuantity or PromotionQuantity plus freight costs
Promised Date Date order promised to the customer
Special Order Notes if this is a special order product
Approver Name of person approving the order
Approval Date Date approval was provided
Shipped Date Date the order was shipped
Savings Plan Table Data
Field Description
Savings Plan ID of savings plan
Plan Description Description of savings plan
Percentage Percentage of withholdings from employee paycheck
Vendor Table
Field Description
Vendor ID SAP generated unique identifier for each vendor
Vendor Name Legal name of each vendor
Address Vendor’s location – address
City Vendor’s location – city
State Vendor’s location – state
Zip Vendor’s location – zip
Billing Address Vendor’s billing location – address
Billing City Vendor’s billing location – city
Billing State Vendor’s billing location – state
Billing Zip Vendor’s billing location – zip
Phone Vendor’s phone number
Main Contact Name of company’s main contact
Email Email address of main contact
Payment Terms Agreed upon payment terms
Payment Method Agreed upon payment method (check, wire transfer, etc.)
Status Status of vendor (active/inactive)
Status Change Date Date the vendor was entered into the system or their status changed
Discount Level Quantity to be purchased in order to receive discount
Discount Period Period of time allowed to achieve discount
Assignment:
You will work to leverage the data provided by Pixystems (see the Data Overview above for a high-level explanation of data provided) and information obtained from the CFO to identify areas for financial and operational improvement, address issues and errors found in processing or data, and confirm the information that the CFO shared with you. To do this you will be assigned one process and must create analytics that will assess the validity of data and provide the insight the CFO is looking for. You may also conduct at least 2 additional analytics that will add additional insight or that you feel would be of interest to the CFO, managers, or auditors.
The CFO is expecting that you have Tableau visualizations representing the analytical procedures you performed and assumptions you made.
You will prepare a final report outlining the following:
• Results of the analytics you performed along with your rational for performing and assumptions made
• Insight that the analytics provided management
• Explanation of any analytics you decided not to perform
• Recommendations you have for improving Pixystems’ processes
• Overview of any other issues that Pixystems should follow-up on
• Recommendations on system controls that could be put in place
• Any other data you would like to have obtained from Pixystems
Process Assignments:
You will only be responsible for analyzing the business process in one functional area. You may consider data and information from other processes if you feel it has a significant impact on the process assigned to you. Professor Chalawsky will communicate which area to focus on.
Accounts Payable
Customer Sales
Inventory
Payroll
Checkpoints as part of this assignment (optional, if it helps):
To ensure your report and presentation will be ready for the CFO, you should complete the following:
Checkpoint #1 – Before you load data into any tools you should review the data provided and information obtained from the CFO to become more familiar with the client and business process. After reviewing this data, you will need to list out the analytics you plan to perform and document the following in the Checkpoint #1 Spreadsheet:
• Rational for performing each analytic
• Insight the analytic will provide to the CFO, business process manager, internal audit department, and external audit.
• Data fields to be included in each analytic
• Assumptions made
• Known issues or challenges in performing the needed analytics
Checkpoint #2 – The success of the project requires that you have accurate data along with comfort that the data is accurate and valid. To do this, you will need to document the following in the Checkpoint #2 Spreadsheet:
• How you will join the tables you plan to use in conducting the analytics determined in checkpoint #1
• Perform summary statistics on all financial fields within the tables used both in total and by calendar year.
• You should also document any additional procedures you performed to assess the validity, accuracy, and completeness of the data.
• Highlight any missing data or errors in the data
• Other data you would like to obtain if available from Pixystems
Checkpoint #3 You should conduct the analytics noted in checkpoint #1 along any additional analytics you have determined as you have worked through the project. Your analytics should be performed within Tableau and you should create visualizations showing your results which you will be presenting to the CFO.