Menu Path: None
To use I/C G/L Transaction Detail, double-click an inventory batch in the Customer Payments grid in Batch Inquiry.
View inventory transaction details.
Use I/C G/L Transaction Detail to display transaction details for an inventory adjustment.
Button |
Description |
Exit |
Click this button to close the I/C G/L Transaction Detail window. |
Field or Button |
Description |
This field displays the adjustment number. |
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These fields display the product code and name for the transaction. |
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These fields display the location prefix and name for the transaction. |
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This field displays the bin for the transaction. |
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This field displays the lot for the transaction. |
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This field displays the serial number for the transaction. |
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This field displays the adjusted quantity for the transaction. |
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This field displays the date the transaction was created. |
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This field displays the user ID of the user that created the transaction. |
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This field displays the date the transaction was last updated. |
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This field displays the user ID of the user that last updated the transaction. |
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This field displays the posting period for the transaction. |
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This field displays the year for the transaction. |
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This field displays the date the transaction was posted. |
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This field displays the user ID of the user that posted the transaction. |
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This field displays the batch number for the transaction. |
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This field displays the date the transaction was last posted. |
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This field displays the user ID of the user that last posted the transaction. |
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This field displays the project number for the transaction. |
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This grid displays the general ledger accounts affected by the transaction. |