I/C G/L Transaction Detail

Menu Path: None

To use I/C G/L Transaction Detail, double-click an inventory batch in the Customer Payments grid in Batch Inquiry.

Purpose

View inventory transaction details.

Overview

Use I/C G/L Transaction Detail to display transaction details for an inventory adjustment.

Ribbon Home Tab Buttons

Button

Description

Exit

Click this button to close the I/C G/L Transaction Detail window.

Lookup Tab Fields and Buttons

Field or Button

Description

Adjustment Number

This field displays the adjustment number.

Product

These fields display the product code and name for the transaction.

Location

These fields display the location prefix and name for the transaction.

Bin

This field displays the bin for the transaction.

Lot

This field displays the lot for the transaction.

Serial #

This field displays the serial number for the transaction.

Adjusted Qty

This field displays the adjusted quantity for the transaction.

Created Date

This field displays the date the transaction was created.

Created By

This field displays the user ID of the user that created the transaction.

Update Date

This field displays the date the transaction was last updated.

Update By

This field displays the user ID of the user that last updated the transaction.

Posting Period

This field displays the posting period for the transaction.

Year

This field displays the year for the transaction.

Transaction Created Date

This field displays the date the transaction was posted.

By

This field displays the user ID of the user that posted the transaction.

Batch

This field displays the batch number for the transaction.

Transaction Update Date

This field displays the date the transaction was last posted.

By

This field displays the user ID of the user that last posted the transaction.

Project Number

This field displays the project number for the transaction.

G/L Account

This grid displays the general ledger accounts affected by the transaction.