Cas / Estimation & coûts
Estimation & coûts

Métrer un bordereau de bâtiment selon le système ASAQS

Relevez les quantités sur les plans, construisez le bordereau dans l'ordre des corps d'état qu'emploie le système normalisé, chiffrez les preliminaries du Bill No 1 en charges fixes, charges liées à la valeur et charges liées au temps, et publiez un document de chiffrage sur lequel une entreprise peut soumissionner sans venir vous demander ce que couvre un prix.

7 étapes14 minÉconomie de la construction / métréEntreprise généralePromoteur / maître d'ouvrage

Comment ça marche, étape par étape

7 étapes à travers la plateforme - ce que vous faites à chacune et pourquoi c’est important.

1

Take the quantities off the drawings

Mesures PDF

Scale the tender drawings, measure element by element and keep each measurement attached to the sheet and the area it came from, so a quantity can be traced back to the line on the drawing that produced it.

Pourquoi: A bill without a measurement trail cannot be remeasured, and remeasurement is exactly what clause 26.9 of the JBCC principal building agreement asks for when quantities in the priced document turn out to be wrong. Quantities that can be pointed back at a drawing settle that in an afternoon; quantities that exist only as totals turn it into a dispute.

EntréeTender drawingsSpecificationRésultatMeasured quantitiesMeasurement trail
2

Build the bill in the standard trade order

Devis quantitatif

Lay the bill out in the trade sections the ASAQS Standard System of Measuring Building Work uses, write each item description to the unit and the coverage rule that section gives it, and keep civil engineering work in its own bill measured to SANS 1200.

Pourquoi: The standard system exists so that an item description carries a known coverage: what the rate includes and what has to be measured separately. A bill written in a house style makes every tenderer guess at that boundary, and a bill priced on different guesses is not a comparison of prices, it is a comparison of assumptions.

EntréeMeasured quantitiesMeasurement standardRésultatStructured billItem descriptions
3

Price Bill No 1 in the three charge categories

Frais de chantier

Set out the preliminaries as Bill No 1 and split every item into the category it belongs to: fixed charges that happen once regardless of value or time, value related charges that move with the contract value, and time related charges that move with the construction period.

Pourquoi: Clause 26.9 of the JBCC principal building agreement adjusts preliminaries on exactly this split when the contract value or the period changes, and a lump sum preliminaries figure gives it nothing to work with. A contractor who has priced site establishment as a fixed charge and site management as a time related charge gets paid for an extension of time; one who lumped them together argues for it.

EntréeConstruction periodSite constraintsRésultatBill No 1Three charge categories
4

Build the rates from labour, material and plant

Assemblages

Price each item from a written build-up rather than from memory: the labour constant, the material with its waste allowance, and the plant the item needs, so the rate can be taken apart again by anyone who asks.

Pourquoi: Clause 26.2 of the JBCC principal building agreement values work of a similar character at the rates in the priced document, and work that is not similar at rates based on them. Both of those need a rate you can open up. A rate held in one estimator's head prices the tender and then cannot value a single instruction for the next two years.

EntréeBill itemsLabour and material pricesRésultatRate build-upsPriced items
5

Set the markups and decide on price adjustment

Devis quantitatif

In the bill's Markups & Overheads panel, load the South African markup template, set overheads and profit against the cost element each belongs to, and decide whether the contract carries contract price adjustment. Where it does, the adjustment is the Haylett formula worked on the Statistics South Africa work group indices named in the contract data.

Pourquoi: A fixed price bid on a two year building contract is a bet on the rand price of steel and cement, and contract price adjustment is the mechanism the market uses instead of that bet. Deciding it at tender rather than at the first cement increase is what keeps the decision commercial rather than adversarial, and clause 26.9 of the JBCC principal building agreement expects the basis to be in the priced document already.

EntréeDirect costCPAP indicesRésultatMarkup ratesTender sum
6

Run the bill through validation before it goes out

Validation

Check the bill for the faults that survive a read-through: an item with a unit that does not match its description, a quantity of zero left in from a superseded drawing, a rate that is an order of magnitude away from its neighbours, a section that carries no preliminaries at all.

Pourquoi: An error in a bill of quantities issued for tender is not a private mistake. Under clause 23.2 of the JBCC principal building agreement an inaccurate quantity in the priced document is a ground for revising the date for practical completion with an adjustment of the contract value, so the employer pays for it twice, in money and in time.

EntréePriced billValidation rulesRésultatValidation reportCorrected items
7

Issue the pricing document and its summary

Rapports

Export the bill as the pricing document tenderers price into, with the bill summary that carries the section totals, the preliminaries and the provisional sums, budgetary allowances and prime cost amounts stated separately.

Pourquoi: Clause 17.1.13 of the JBCC principal building agreement lets the principal agent instruct the expenditure of budgetary allowances, prime cost amounts and provisional sums, and clause 26.9 adjusts them against what was actually spent. That only works if they were shown separately at tender. A bill that buries them inside trade totals cannot be adjusted without reopening the whole price.

EntréeValidated billTenderer listRésultatPricing documentBill summary
Modules

Modules de ce playbook

6 / 190 modules de la plateforme

Le marché pour lequel ce cas est écrit

Afrique du Sud

Tout dans ce cas suit la façon dont les travaux sont métrés, chiffrés et payés sur ce marché. Les formulaires, la décomposition des coûts et les règles de paiement sont ceux qui y sont utilisés, pas une version générique.

Normes qu’il suit

  • JBCC 6.2
  • SANS 1921

Vous n’avez rien de tout cela à paramétrer à la main. Au premier démarrage, la plateforme demande sur quel marché vous travaillez. Choisissez celui-ci et elle règle la langue de l’interface, charge la base de coûts correspondante, enregistre la classification des coûts et ajoute un projet d’exemple que vous pouvez ouvrir tout de suite.

Les contrôles propres à ce marché sont eux aussi fournis avec la plateforme. Une fois activés, un devis auquel il manque quelque chose que le marché attend est signalé pendant que vous y travaillez, et non après l’envoi de l’offre.

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