Difference between revisions of "Journal Entry Architecture GL Mapping"
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'''AP Check:''' A ''Debit'' is made to Accounts Payable and a ''Credit'' is made to a cash account | '''AP Check:''' A ''Debit'' is made to Accounts Payable and a ''Credit'' is made to a cash account | ||
− | :::::''For more information please see the [ | + | :::::''For more information please see the [[Print AP Checks | AP Checks]] page'' |
===Production of Stock Item=== | ===Production of Stock Item=== |
Revision as of 07:42, 12 August 2024
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 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 [^journal-entries-po-receipt|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 [^superbatch#WO_Work_In_Progress_2|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-architecture-invoicing#Work_in_Process_6|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 [^READYTOINV|Shipped and Not Invoiced] page
Invoice: A Debit is made to COGS and a Credit is made to WIP
{s:yellow | text = For more information on the entire invoicing process please see the [^journal-entry-architecture-invoicing|Journal Entry Architecture - Invoicing] page }
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