Journal Entries PO Receipt

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Revision as of 07:46, 19 July 2022 by Vtran (talk | contribs)


General Information

A PO Receipt will debit the Item Control account and credit PO Clearing (aka Accrued AP).

The credit to PO Clearing will be cleared when the receipt is invoiced in AP. If the invoice is created without clearing the receipt(s), the [closeporec|Clear Unbilled PO Receipts] screen can be used to clear the credit.

Please note that your PO Clearing Account in the GL should reconcile to your Unbilled PO Receipts report. If it doesn't, then the most likely cause is an AP invoice that was distributed to the PO Clearing account without actually clearing a PO receipt.


Control Account

When a stock item is received, the Inventory Control account is determined by the Control Account listed on the Entry Architecture/ohf_icacct.png|OHF tab of the Item Master.

If that account is blank or invalid, then the Control Account listed on the screen will be used.

If that account is blank or invalid, then the Control Account listed on the Entry Architecture/cid_icacct.png|CID Maintenance screen will be used.


Non-Stock items follow the same rules, however the user may enter a Entry Architecture/po_glacct.png|GL account directly onto the PO to debit an account.

PO Clearing Account

The PO Clearing account is determined by the PO Clearing account listed the Entry Architecture/ohf_poclracct.png|OHF tab of the Item Master

If that account is blank or invalid, then the PO Clearing account listed on the Entry Architecture/whse_poclracct.png|Warehouse screen. will be used.

If that account is blank or invalid, then the Control Account listed on the Entry Architecture/cid_poclracct.png|CID Maintenance screen will be used.


PO Receipt >> AP Invoice >> AP Check

The following is a list of typical journal entries that would be recorded from time of PO Receipt through issuing payment to the vendor.

Transaction Debit Credit
PO Receipt Inventory Control Accrued AP
AP Invoice Accrued AP Accounts Payable
AP Check Accounts Payable Cash

Please note that the Cost of Goods entry is made when the item you received is shipped to a customer (not when you receive it). This aligns your cost and revenue entries by recognizing the corresponding cost with each sale.