Difference between revisions of "Information Systems:Generated Journal Entries"

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(Created page with "G/L entries are automatically generated by sales, receiving, and transactions in the warehouse. To see how this is done, key 81 on an ASW command line, and press enter. *P...")
 
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Trans cost calc code 23 Project cost code 1
 
Trans cost calc code 23 Project cost code 1
 
Transaction cost.... 28 Project
 
Transaction cost.... 28 Project
45 Project cost code 2
+
45 Project cost code 2
99 Cost center
+
99 Cost center
 
F8=Accounting information
 
F8=Accounting information
   

Revision as of 11:04, 19 October 2015

G/L entries are automatically generated by sales, receiving, and transactions in the warehouse. To see how this is done, key 81 on an ASW command line, and press enter.

*PL/480B*  Table maintenance program selection      12/02/14 17:48:36 ASGD0181 
-------------------------------------------------------------------------------
    Appl      Table                                                            
_   AAC       G/L transaction types                                            
_   AAC       Transaction origins                                              
X   DIS       Transaction types                                                
_   FIN       Transaction enquiry sequences                                    
_   GEN       Nature of transactions                                           
 
-------------------------------------------------------------------------------
    Appl      Search argument                                                  
              transaction                                                      

Key in a search argument of ‘transaction’, and press enter. Select ‘Transaction types’.

*PL/480B*  Transaction type table maintenance       12/02/14 17:51:09 DMR0271  
-------------------------------------------------------------------------------
     Type      Description                                                    
      350      RF adjustment up           350                                 
      351      RF adjustment down         351                                 
      800      Cost for goods sold        800                                 
      801      Cost for goods del. FOC    801                                 
      802      Coin adjustment            802                                 
      803      Accounts receivable        803                                 
      806      Surcharge                  806                                 
      810      Purchase accounts(sys req) 810                                 
      811      Exchange rate diff invoices811                                 
      812      Quantity diff invoices     812                                 
      813      Price diff invoices        813                                 
      814      Invoiced purchases(sys req)814                                 
      840      Gross sales                840                                 
      841      Line discounts             841                                 
      842      Order discount no VAT      842                                 
      843      Sales val inv. n del no VAT843                                 
      844      Line disc inv. n del no VAT844                                 
      845      Order disc inv. n del      845                                 
      846      Freight no VAT             846                                 
      847      Postage no VAT             847                                 
      848      Insurance no VAT           848                                 
      849      Administration fee no VAT  849                                 
      850      Invoice fee no VAT         850                                 
      901      Stock value                901                                 
      902      Stock value-Drop-Transit   902                                 
      903      Stk val fict.item          903                                 
      904      "Stock" value direct del.  904                                 
      907      Goods in transfer-IRO      907                                 
      910      Manual average cost change 910                                 
      911      Manual av.cost chg.tran BtB911                                 
      912      Stock take difference pos  912                                 
      913      Stock take difference neg  913                                 
      915      Average cost change        915                                 
      916      Average cost chg. tran BtB 916                                 
      917      "Stock" value no stock upd 917                                 
      918      Stock supply diff. pos     918                                 
      919      Stock supply diff. neg     919                                 
      930      Reception from supplier    930                                 
      931      Return to supplier         931                                 
      936      Reception from supplier FOC936                                 
      944      Rnd diff - cost price calc 944                                 
      945      Gain/loss, returned goods  945                                 
      960      GST payable                960                                 
      961      GST payable on hd fees     961                                 
      962      GST payable on surcharges  962                                 
      963      GST payable on kits        963                                 
      969      Invoice rounding difference969                                 
     1000      MAI Destroyed inv (int)   1000                                 
     1001      MAI Missing items (int)   1001                                 
     1002      MAI Precursor Destruction 1002                                 
     1010      MAI Destroyd inv(ext-narc)1010                                 
     1020      MAI Destroyed inv(ext-phx)1020                                 
     1030      MAI Destroyed inv(ext-oth)1030                                 
     1035      MAI Inventory transfers   1035                                 
     1040      MAI Cycle Count Adjustment1040                                 
     1043      MAI Unit of Measure Adj   1043                                 
     1045      DO NOT USE                                                     
     1050      PST payable               1050                                 
     1051      PST payable on hd fees    1051                                 
     1052      PST payable on surcharges 1052                                 
     1053      PST payable on kits       1053                                 
     1060      HST payable               1060                                 
     1061      HST payable on hd fees    1061                                 
     1062      HST payable on surcharges 1062                                 
     1063      HST payable on kits       1063                                 
     1100      CGY Destroyed inv (int)   1100                                 
     1101      CGY Missing items (int)   1101                                 
     1110      CGY Destroyd inv(ext-narc)1110                                 
     1120      CGY Destroyed inv(ext-phx)1120                                 
     1130      CGY Destroyed inv(ext-oth)1130                                 
     1135      CGY Inventory transfers   1135                                 
     1140      CGY Cycle Count Adjustment1140                                 
     1143      CGY Unit of Measure Adj   1143                                 
     1145      CGY Returns to Main       1145                                 
     1997      test                                                           
-------------------------------------------------------------------------------
     Type                                                                     

This is a list of all the transaction types that can be automatically generated by activity. ‘Types’ of 1000 and more are ones that we have created.

To see how the G/L entries are generated, select a transaction type.

*PL/480B*  Transaction type table maintenance       12/02/14 18:19:33 DMR0273  
-------------------------------------------------------------------------------
Type................   800                                                     
Description......... Cost for goods sold        800                            
                                                 Valid tables                  
Summarise trans..... N                        01 Item account group            
VAT handling code... USST                     02 Item group                    
Account part 1...... 01                       03 Customer account group        
Account part 2...... DI                       04 Customer group                
Account part 3...... OP                       07 Warehouse                     
Account part 4...... WA                       08 Area                          
Account part 5......                          09 Salesman                      
Account part 6......                          10 Handler                       
Account part 7......                          11 VAT                           
Account part 8......                          12 Currency                      
VAT override........ N                        13 Sales order type              
VAT account......... N                        15 Acc. group, item/parent       
Balance type........                          16 Item group, item/parent       
Trans cost calc code                          23 Project cost code 1   
Transaction cost....                          28 Project               
                                              45 Project cost code 2   
                                              99 Cost center
F8=Accounting information                                                      

This shows how each account part is constructed. The two character alpha codes are ‘fixed accounts’. These point to ‘pseudo accounts’, which in turn point to the G/L master file. Pointers are used here instead of the actual G/L numbers, so that the G/L structure itself can be changed without having to change all of the ‘transaction types’. However, the way we have implemented it does not support this functionality. We have named our pseudo accounts as the account part number, then the account number itself. For example, the pseudo account for pharmaceutical cost of goods sold is ‘1410000’. For pseudo accounts to actually work as designed, it would have to be something like ‘RXCOGS’.

If the code is a number, then ‘Valid Tables’ indicates criteria. Press F8 for more information on this.

*PL/480B*  Accounting information                   12/02/14 18:22:55 DMR0411  
-------------------------------------------------------------------------------
Type................   800 Cost for goods sold        800                      
-------------------------------------------------------------------------------
   Acc.p   Code   Description                                                  
X    1      01    Item account group                                           
     2      DI    Distribution                                                 
     3      OP    Operations                                                   
     4      WA    Warehouse - Main                                             

Select Account Part 1. Because this is code 01, every item account group shows, and allows a pseudo account to be entered against it.

*PL/480B*  Accounting information                   12/02/14 18:24:26 DMR0413  
-------------------------------------------------------------------------------
Type................   800 Cost for goods sold        800                      
Account part........ 1     Item account group                                  
-------------------------------------------------------------------------------
     Code   Description                      Pseudo                           
     C100   Customer                         _______                                 
     C200   Vendor                           _______                                 
     I100   Pharmaceuticals                  1410000                          
     I200   Home Health Care                 1410100                          
     I300   OTC                              1410200                          
     I400   Health & Beauty                  1410300                          
     I500   Sundries                         1410400                          
     I600   Tobacco                          1410500                          
     I700   Non-Stocked & Seasonal           1410600                          
     Z001   Dropshipment (1120)              _______                                 
     Z002   Drop Shipment Admin Fee (1120)   _______                                 
     Z004   Enclosure Admin Fee (1120)       _______                                 
-------------------------------------------------------------------------------

By looking at the fixed account and pseudo account tables, we can that when an OTC item is sold, cost of goods sold will be posted to 410200 1000 1100 1120.