That is exactly what we do here. We post the IM transactions weekly and
subset by date. At the end of the month when we invoice our machine
shipments, we subset by part number range.
Thanks,
Ted Vollrath
Plant Controller
HayssenSandiacre
225 Spartangreen Blvd
Duncan, SC 29334
T (864) 486-4135
F (864) 486-4410
ted.vollrath@xxxxxxxxxxxxxxxxxxxx
-----Original Message-----
From: mapics-l-bounces@xxxxxxxxxxxx
[
mailto:mapics-l-bounces@xxxxxxxxxxxx] On Behalf Of
ARojas@xxxxxxxxxxxxxxxxxxx
Sent: Thursday, June 07, 2007 4:24 PM
To: MAPICS ERP System Discussion
Subject: Re: [MAPICS-L] INVTXN question...
When executing the "Create Ledger Entries option", force your
accounting
user to use F17 to subset and enter a Date Range, in this way the GL
is
not updated with an incorrect period.
Antonio Rojas
I.T. Manager
Senior Aerospace, SSP
Burbank, CA
(818) 458-7802
"Jon Le Roi" <jleroi@xxxxxxxxx>
Sent by: mapics-l-bounces@xxxxxxxxxxxx
06/07/07 01:17 PM
Please respond to
MAPICS ERP System Discussion <mapics-l@xxxxxxxxxxxx>
To
"MAPICS ERP System Discussion" <mapics-l@xxxxxxxxxxxx>
cc
Subject
Re: [MAPICS-L] INVTXN question...
We modified our procedure to include a step just before creating the
ledger entries. This new step copies the file to a history file so we
can go back and review the transactions. Amazing how many times
accounting has found problems during the close and needed to review the
transaction records to locate the individual record in error.
By the way, how many of us on this list are in California? We have
offices in Petaluma and in San Jose.
Regards,
Jon Le Roi
Dirctor of I.T.
Tegal Corporation
Petaluma, Ca
-----Original Message-----
From: mapics-l-bounces@xxxxxxxxxxxx
[
mailto:mapics-l-bounces@xxxxxxxxxxxx] On Behalf Of Vanessa King
Sent: Thursday, June 07, 2007 11:40 AM
To: 'MAPICS ERP System Discussion'
Subject: Re: [MAPICS-L] INVTXN question...
There are two steps - account assignment and creating the ledger entry.
When you do the account assignment the accounts are in INVTXN and remain
there until you create the ledger entries. You can assign accounts many
times until you are ready to book it to the general ledger. Once you
create the ledger entry, the records get deleted.
Vanessa King
-----Original Message-----
From: mapics-l-bounces@xxxxxxxxxxxx
[
mailto:mapics-l-bounces@xxxxxxxxxxxx]
On Behalf Of Olga Gunther
Sent: Thursday, June 07, 2007 2:31 PM
To: MAPICS ERP System Discussion
Subject: Re: [MAPICS-L] INVTXN question...
Okay, when the assigning takes place, the records get deleted from
INVTXN. I have all the rules and priorities set up. Why are the darn
fields in INVTXN when they are never captured?
Sincerely,
Olga Gunther
-----Original Message-----
From: mapics-l-bounces@xxxxxxxxxxxx
[
mailto:mapics-l-bounces@xxxxxxxxxxxx] On Behalf Of Dave Lauderdale
Sent: Thursday, June 07, 2007 9:57 AM
To: MAPICS ERP System Discussion
Subject: Re: [MAPICS-L] INVTXN question...
Olga,
Maybe I am misunderstanding this whole conversation, but I thought your
question was why the account numbers were blank while the amount fields
have values. If this is the question, then the answer has to do with
the account assignment tasks.
If you select to track IM/GL transactions, the amounts get loaded every
time there is a transaction. The transaction amount comes from the
fields that Lloyd talked about. However, the account numbers do NOT get
applied until you go through the step to assign accounts. This does not
occur automatically. In general, we only do this at month-end, but it
can be done as often as you want. Are you aware of the account
assignment process and setting up the rules and so forth?
Have I totally misunderstood the question?
David Lauderdale
-----Original Message-----
From: mapics-l-bounces@xxxxxxxxxxxx
[
mailto:mapics-l-bounces@xxxxxxxxxxxx]On Behalf Of Olga Gunther
Sent: Thursday, June 07, 2007 10:42 AM
To: MAPICS ERP System Discussion
Subject: [MAPICS-L] INVTXN question...
Hello!
Does anyone know why the GLI interface file for IM transactions, INVTXN,
does not capture the charge, offset & variance GL account numbers in the
INVTXN record even though the amounts are there?
Specifically, what I am looking for, is a way to reconcile and track
inventory transactions with the ledger entries. Our accounting staff
spends days trying to reconcile the inventory with the general ledger
and always come up short on the inventory side. Any ideas?
Sincerely,
Olga Gunther
AS 400 Ops - Programmer/Mgr
Juanita's Foods
Wilmington, CA
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