Menu Path: Warehouse Management Posting and Period Controls Inventory Adjustment Post
Create accounting transactions.
Resolve incorrect accounts.
Post inventory to the general ledger.
Use Inventory Adjustment Post to post inventory-related transactions. To post inventory adjustments to the general ledger, general ledger resolutions for inventory adjustment transactions are reviewed to make sure that proper accounting entries can be made. This is accomplished on the Resolve Transaction tab. If there are faulty general ledger resolutions for inventory adjustment transactions, you must correct any errors that occurred on the Account Exceptions tab. After the errors have been corrected you may post your inventory to the general ledger. For more information, see Unbalanced General Ledger Entries from Other Modules FAQ.
To create accounting transactions:
Select the product, location and date for which you want to resolve transactions.
Select the posting period and year. When an inventory adjustment is created, the posting period and year are automatically assigned to it based on the default inventory period and year. For example, the default inventory period and year are 10 and 2020 and an inventory adjustment is created. To create an accounting transaction for the inventory adjustment, you must enter 10 in the Posting Period field and 2020 in the Year field.
Select a batch ID using the Batch tab in the ribbon.
Click the Print Options tab.
Select a process and output option.
Click the Resolve Transactions tab.
Click the OK button in the ribbon to create the transactions. The I/C G/L Transaction Creation Status Report is output based on the options you selected in step 5. If the report indicates that there are errors, you must use the Account Exceptions tab to resolve the errors. If there are no errors, you can click the Posting tab and post the transactions. The number of created transactions and the number of errors are displayed.
The Account Exceptions tab allows you to correct and update accounts or projects. Errors must be corrected using the adjustment number found on the resolve transaction report.
To correct an account error:
Enter an adjustment number from the I/C G/L Transaction Creation Status Report.
Enter the batch ID.
Double-click the error account.
Enter the correct general ledger account in the New G/L Account or Account Description field.
Click the Correct Account button in the ribbon. The account is updated.
After all general ledger resolution errors are corrected, you can use the Posting tab to post the entries to the general ledger.
After all accounts have been corrected the entries can be posted to the general ledger.
To post inventory transactions:
Click the Posting tab.
Select the posting period and year.
Select which transactions to include. If you want to post for a specific batch, enter the batch in the Inventory G/L Transactions Batch # field.
Click the Print Options tab.
Select a process and output option.
Click the Posting tab.
Click the OK button in the ribbon to post the transactions to the general ledger. The Post Confirmation dialog box appears, and asks you to confirm that you want to post.
Click Yes. The I/C Posting to G/L Report displays with information on the posted transactions. At this time general ledger journal postings are made with a prefix of I/C. These journal numbers are noted on the posting report.
Button |
Description |
Exit |
Click this button to close the Inventory Adjustment Post window. |
OK |
If the Resolve Transactions tab is displayed, click this button to create accounting transactions based on the selected criteria. If the Posting tab is displayed, click this button to post transactions to the general ledger. |
Correct Account |
Click this button to save a correction to an account number. This button is only available if you click the Account Exceptions tab, and if the Correct and Accounts radio buttons are selected. |
Update Account |
Click this button to save changes to an account number. This button is only available if you click the Account Exceptions tab, and if the Update and Accounts radio buttons are selected. |
Correct Project # |
Click this button to save a correction to a project number. This button is only available if you click the Account Exceptions tab, and if the Correct and Project # radio buttons are selected. |
Update Project # |
Click this button to save changes to a project number. This button is only available if you click the Account Exceptions tab, and if the Update and Project # radio buttons are selected. |
Previous |
Click this button to display the previous adjustment number. This button is only available if you click the Account Exceptions tab. |
Next |
Click this button to display the next adjustment number. This button is only available if you click the Account Exceptions tab. |
Button |
Description |
Select Batch |
Click this button to display Select a New Batch, which allows you to select a previously created batch. |
Open Batch |
Click this button to display Open a New Batch, which allows you to create a new batch. |
Close Batch |
Click this button to display Close A Batch, which allows you to close a batch. |
Edit Batch |
Click this button to display Edit A Batch, which allows you to edit an existing batch. |
Field or Button |
Description |
Click the Lookup button to select the posting period of the inventory transactions you want to resolve. When an inventory adjustment is created, the posting period is automatically assigned to it based on the default inventory period. This field defaults to the default inventory period entered in Inventory Period Update. |
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Click the Lookup button to select the posting year of the inventory transactions you want to resolve. When an inventory adjustment is created, the posting year is automatically assigned to it based on the default inventory year. This field defaults to the default inventory year entered in Inventory Year Update. |
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This field displays the current batch ID. You can use the Select Batch, Open Batch, Edit Batch, and Close Batch buttons in the ribbon to work with batches. |
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Select this check box to create accounting transactions for all products. This check box is selected by default. |
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Enter a product code or name for which to create accounting transactions, or click one of the Lookup buttons to select a product code or name. These fields are only enabled if you clear the All check box. |
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Click this button to display Product Prompting, which allows you to enter a product code by element. This button is only enabled if you clear the All check box. |
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Select this check box to create accounting transactions for all locations. This check box is selected by default. |
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Enter a location prefix or name for which you want to create accounting transactions, or click one of the Lookup buttons to select a location prefix or name. These fields are only enabled if you clear the All check box. |
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Select this check box to create accounting transactions for all dates. This check box is selected by default. |
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Enter the first date in a range of dates for which to create accounting transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All check box. If you are outputting the report via Scheduling Assistant, you can select a virtual date for this field. |
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Enter the last date in a range of dates for which to create accounting transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All check box. If you are outputting the report via Scheduling Assistant, you can select a virtual date for this field. |
Field or Button |
Description |
Click the Lookup button to select the posting period of the inventory transactions you want to post. When an inventory adjustment is created, the posting period is automatically assigned to it based on the default inventory period. This field defaults to the default inventory period entered in Inventory Period Update. |
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Click the Lookup button to select the posting year of the inventory transactions you want to post. When an inventory adjustment is created, the posting year is automatically assigned to it based on the default inventory year. This field defaults to the default inventory year entered in Inventory Year Update. |
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Select which transactions you would like to post. Select one of the following options:
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Enter an inventory general ledger transactions batch number, or click the Lookup button to select a batch number. This field is only available if you select the Transactions for Batch radio button. |
Field or Button |
Description |
Select whether to correct or update accounts or project numbers. |
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Select whether to correct or update accounts or project numbers. |
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Enter the adjustment number that you want to correct or update, or click the Lookup button to select an adjustment number. |
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Enter the batch of the entry you want to correct or update, or click the Lookup button to select a batch number. |
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This grid displays accounts associated with a selected adjustment number. This grid is only available if the Accounts radio button is selected. If the Correct radio button is selected, error appears in the Bad Account grid column for accounts that were not properly resolved. |
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Accounts in I/C G/L Transaction (That Require a Project Number) |
This grid displays accounts for which you are correcting or updating the project number. This grid is only available if the Project # radio button is selected. |
This field displays the first account mask for the account you double-clicked in Accounts grid. |
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This field displays the second account mask for the account you double-clicked in the Accounts grid. |
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This field displays the third account mask for the account you double-clicked in the Accounts grid. |
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This field displays the resolved account number for the account you double-clicked in the Accounts grid. |
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Enter a new general ledger account, or click the Lookup button to select the new account. |
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Click this button to display G/L Prompting, which allows you to enter a general ledger account by element. |
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Enter a general ledger account description for the account to use, or click the Lookup button to select an account description. |
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This field displays the current project number. |
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Enter the new project number, or click the Lookup button to select a new project number. |
Field or Button |
Description |
Output Option |
Select one of the following output options:
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Save Report File |
Select this check box to save the Crystal Reports report (.rpt) file for the report to the folder entered in the Report Working Directory field for your user ID in User Profile Maintenance. You can use the report file to customize the report. For more information, see Crystal Reports FAQ. This check box is only available if you select the Screen radio button. |
Save Access Database File |
Select this check box to save the Access database (.mdb) file for the report to the folder entered in the Report Working Directory field for your user ID in User Profile Maintenance. You can use the Access database file to customize the report. For more information, see Crystal Reports FAQ. This check box is only available if you select the Screen radio button. |
Output File Type |
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Specify File Name |
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Output Directory |
Enter the location for the output report, or click the Lookup button to navigate to and select a location. This field is only available if the Specify File Name check box is cleared. |
Output File Name |
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Excel Format Name |
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Format Maintenance |
Click this button to display Excel Format Maintenance, which allows you to set up Excel formats. This button is only available if you select the Excel radio button. |
Save As Type |
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Include header |
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Delimiter |
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Enclosing Character |
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Printer |
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Subject |
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Report File Prefix |
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Add Additional Comments |
Select this check box if you want to include additional comments with the emailed report. If you select this check box, the Additional Comments window appears after you click the Print button in the ribbon, and allows you to enter the comments. This check box is only available if you select the Email radio button. |
Print Full Heading on All Pages |
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Print Title Line on All Pages |
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Report Language 1 |
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Report Language 2 |
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Horizontal Shading |
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Collate |
Select this check box to collate the printed copies of the report (if you are printing multiple copies of the report). This check box is cleared by default, and is only enabled if you select the Printer radio button and enter a value greater than 1 in the Number of Copies field. Example You are printing five copies of a 20 page report to distribute to five different people. Leave this check box selected, so that pages 1-20 of the first copy prints, then pages 1-20 of the second copy, etc. If you clear this check box, five copies of page 1 prints, then five copies of page 2, etc. |
Horizontal Shading Color |
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Number of Copies |
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Process |
Select whether the task is run now or run by Scheduling Assistant. If you select the Schedule radio button, you can specify when the task occurs, and optionally set up an alert to be created when the task completes. These radio buttons are only enabled if the Disable Scheduling Assistant check box is cleared for your user ID in User Profile Maintenance. Note If you select the Schedule radio button, you cannot output to the screen. |
Time |
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Date |
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Task Occurs |
Select one of the following options:
These radio buttons are only enabled if you select the Schedule radio button. |
Frequency |
These radio buttons are only available if you select the Every radio button. |
Day of Week |
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Repeat Every X Days |
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Repeat On |
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Repeat Every X Minutes |
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Triggering Task Id |
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Triggering Task Name |
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Triggering Task Description |
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Task Description |
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Scheduling Assistant Queue |
Enter an active Scheduling Assistant queue for the task, or click the Lookup button to select a Scheduling Assistant queue. This defaults to the default queue for your user ID. This field is only enabled if you select the Schedule radio button, and you are assigned to a queue other than the Default queue. |
External Email |
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Screen Alert |
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Internal Email |
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Report Files |
This grid displays report files set up for the report, and is only available if report files are set up for the program in Report File Maintenance. This grid includes the following columns:
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