Levridge Enhanced Integration with Bushel: Scale Tickets, Contracts, Settlements, Commodity Balances

By Levridge staff | Updated: Feb 11, 2025 | Accounting , Grain , Product Updates , Release Notes , Scale | read

Levridge 2024 R3 provides enhancements to the Bushel integration. This update enables purchase contracts, settlements, and customer commodity balances to be sent to Bushel directly from the Levridge Commodity accounting solution.  

Setting Up Bushel Integration

To get started, users need to navigate to the System Administration > Workspaces > Data Management.

Under the project section, users can click on Export Projects to view the data projects associated with Bushel.

By selecting a project and running it, users can enable recurring data transfers, ensuring that the process runs smoothly.

Navigating the Bushel Portal

The Bushel portal provides detailed information on scale tickets, contracts, commodity balances, and settlements. For scale tickets, users can view data such as date, location, driver, truck license, and weights. If a ticket is split, the portal displays the split information, making it easy to track multiple accounts.

Scale Tickets

The scale ticket section of Bushel provides a full view of results including date, location, driver information,  truck, license, weigh in, weigh out, weights and units, and grade factors. It also displays if the ticket is a split ticket.

Contracts

The contracts section of the Bushel portal offers a comprehensive view of all contracts, including their status, quantity delivered, and remaining quantity. Users can drill down into individual contracts to see detailed information, such as pricing and delivery lines. This feature ensures that users have all the necessary information at their fingertips, enabling efficient contract management.

Commodity Balances

In the commodity balances section, users can view data for different commodities, such as corn and soybeans. The portal provides a graphical representation of the quantities on hold, priced, and available. This visual aid helps users quickly assess their commodity balances and make informed decisions.

Settlements

The settlements section displays various statuses, including paid, invoiced, and deferred. By drilling down into individual settlements, users can view detailed information about payments, deductions, and premiums. This feature ensures transparency and accuracy in handling settlements, providing users with a clear understanding of their financial transactions.