Journal Entry Architecture - GL Mapping
Modified on Wed, 14 Nov 2012 09:47 by Greg Andrews — Categorized as: General Ledger, Production
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Stock Inventory
Accounting of Stock Item
Production of Stock Item
Stock Inventory
¶
Inventory Control Account:
is determined by the Control Account listed on the OHF tab of the Item Master.
If that account is blank or invalid, then the Control Account listed on the Warehouse screen will be used.
If that account is blank or invalid, then the Control Account listed on the CID Maintenance screen will be used.
Accounting of Stock Item
¶
Purchase Order Receipt:
A
Debit
is made to Stock Inventory account and a
Credit
is made to Accrued AP (P.O. Clearing)
For more information please see the
PO Receipt
page
AP Invoice:
A
Debit
is made to Accrued AP and a
Credit
is made to Accounts Payable
For more information please see the
Accounts Payable
page
AP Check:
A
Debit
is made to Accounts Payable and a
Credit
is made to a cash account
For more information please see the
Print AP Checks
page
Production of Stock Item
¶
Purchase Order Receipt:
A
Debit
is made to Stock Inventory account and a
Credit
is made to Accrued AP (P.O. Clearing)
For more information please see the
PO Receipt
page
Production Work Order Assigned:
A
Debit
is made to WIP and a
Credit
is made to Stock Inventory account
For more information please see the
WIP - Definition
page
PWO Assembly:
A
Debit
is made to Stock Inventory account and a
Credit
is made to WIP
Based on the setup of the assembled item, the
Debit
can go to a stock or non-stock inventory control account.
For more information on the WIP functionality please see the
Journal Entry Invoicing
page
Ship SO:
A
Debit
is made to WIP and a
Credit
is made to the same Inventory Control account used at the end of production.
Work in Progress is used again to signify that the inventory can not be used for another order and we have not yet invoiced for it.
For more information on orders not yet invoiced please see the
Shipped and Not Invoiced
page
Invoice:
A
Debit
is made to COGS and a
Credit
is made to WIP
For more information on the entire invoicing process please see the
Journal Entry Architecture - Invoicing
page
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