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(Batch Type = Stock Issue) (Job Transaction Table)

Stock Returns will use the same rules as for Stock Issues except that the transactions will have a --'ve value

  • DR To the CR GL Account (as defined above) . The value will be a --'ve.
  • CR To the DR GL Account (as defined above). We are posting a --'ve value to the normal DR accounts defined



Other Stock Transactions:

  • Stock Adjustments (Batch Types = Stock Adjust)
  • Stock Transfers (Batch Types = Stock Transfer)
  • Stock Value Adjustments (Batch Types = Stock Value)
  • Stock Quantity Adjustments (Batch Types = Stock Quantity)
  • Stock Opening Balances (Batch Types = Stock Adjust)



  • A positive value transaction will DR the Stock Control Account for the Stock Location in question.
  • A negative value transaction will CR the Stock Control Account for the Stock Location in question.
  • If the batch is unbalanced, then the resulting write on / write off will be posted to the Stock Adjustment Account for the Stock Location in question, being the full account code string for the Stock Adjustment Account.