On Hand Qty by Location by Bin

** This utility is under development and is not yet available. **

This program updates the inventory quantities at the different locations by Bin number.

LOCATION
Select a location or press <F4> and look it up in the window.

BIN LOCATION
Enter the existing Bin number assigned to the products that should be displayed.
Any adjustments to on hand quantities will update the quantities in this bin number.

DATE
This date will be used as the Adjustment Date, to note the quantity changes when Inventory Adjustment records are automatically written. This affects Inventory Value Reports.

ADJUSTMENT TYPE
Enter the type code for this adjustment or press <F4> to select one from the window. This adjustment type controls the G/L posting account to be credited for the inventory adjustment amount.
These types can be setup in Inventory Adjustment Types.
Middle of the Screen:
PRODUCT NUMBER
The Products will list in Product # order or Description order within that Product Group.

DESCRIPTION
The product description will appear on the screen.

ON HAND
The total quantity currently owned will display.
This is the sum of the quantities on the location records.

If a quantity adjustment has been made for a serialized sales product, and the product is NOT flagged to enter serial numbers at "Time of Sale", the serial number window opens to add or remove a serial number to match the quantity adjustment being made.

Press the Accept key twice to accept the quantity changes entered.

After any changes to product quantities are completed, use Post Inventory Adjustments, to print an audit report and to generate the G/L postings for the change in the Inventory value.

Note: If this utility was run in error contact Texada Support for assistance to Reverse Inventory Adjustments.


Topic Keyword: RSPF108
Converted from CHM to HTML with chm2web Pro 2.85 (unicode)