This field displays the name of the person who entered the transaction.
Use this field to specify the transaction date for the internal usage transaction.
Inventory Control automatically displays the session date as the default date, but you can change it. (The session date is the date that you entered when you started Sage 300).
You can also enter a separate posting date, which determines the fiscal year and period to which a transaction is posted in the general ledger.
You can change the document date and the posting date, but you cannot directly change the fiscal period.
Enter an optional description for the internal usage transaction, using up to 60 characters.
This description appears with the transaction on the Internal Usage Posting Journal.
It can also appear on the G/L Transactions report and in the general ledger batch (if Inventory Control uses Description for the G/L Entry Description field or the G/L Detail Reference field and you do not consolidate general ledger transactions).
The program automatically assigns the internal usage number if you leave "*** NEW ***" in the Internal Usage Number field. The program-generated number is determined by settings in the I/C Options screen.
Alternatively, you could assign internal usage numbers using a scheme such as requesting department number and date. In any case, the number must be unique, and up to 22 characters long to distinguish the new shipment from other, existing shipments.
Internal usage numbers can contain letters, numbers, and special characters (for instance, *, & #). Letters automatically appear in uppercase when you type them.
If optional fields are set up for use in this type of transaction (applying to the entry as a whole), you can enter information in the optional fields by clicking next to the Optional Fields option and selecting Add/Edit to open the I/C Detail Optional Fields screen.
Note: Optional field information can pass to the General Ledger only if the optional fields are also assigned to the general ledger accounts.
Specify the date to which to post the transaction to the general ledger. The posting date determines the fiscal year and period, which you cannot change directly.
In a multicurrency system, currency revaluation also uses posting dates to select open documents for revaluation purposes and, thus, revaluation adjustments are posted to the general ledger in the correct fiscal year and period.
Depending on your settings in the I/C Options screen, Inventory Control displays the session date or the document date as the default posting date.
Note: If you consolidate G/L transactions, the posting date for consolidated entries is the last date of the fiscal period.
Enter an optional reference, using up to 60 characters.
This reference appears with the transaction on the Internal Usage Posting Journal.
It can also appear on the G/L Transactions report and in the general ledger batch, if the G/L Reference field or the G/L Description field uses Reference in one of its segments, and you do not consolidate general ledger transactions.
Enter the person or department that ordered the goods for internal usage.
Displays the year and period, which is determined by the posting date. You cannot change the year/period except by changing the posting date.
Inventory Control displays the category code assigned to the item number you selected. To change the category, enter another category code in the Category column.
Enter comments you want to appear on the Internal Usage Posting Journal for the detail line. Use up to 250 characters.
When shipping items that use the user-specified costing method, enter the unit cost or the extended cost. You cannot enter costs when shipping items that do not use user-specified costing.
If you enter the extended cost or change it, the program calculates the unit cost. The program recalculates the extended cost if you enter or change the unit cost.
If you use multicurrency accounting, enter costs in your functional (home) currency.
Inventory Control automatically displays the description entered for the item in the Items screen. You cannot change it in the I/C Internal Usage screen.
Use this field to specify the item number of the item being shipped.
You can enter a manufacturer's item number that was associated with an item (using the I/C Manufacturers' Items screen). The program substitutes the inventory item number, and places the manufacturer's item number that you entered in the Manufacturer's Item Number column in the table.
Line numbers show the order in which each detail line is entered on transactions. They are assigned in sequence by Inventory Control and you cannot change them.
If you want to insert a detail line ahead of an existing line (except for line 1), select (highlight) the previous line, then click the Add Line button. You cannot insert lines before the first detail line you enter.
To delete a line, place the insertion point in the line, then click the Delete Line button.
Use this field to specify the code of the inventory location from which you are shipping the units.
Locations in Inventory Control are either physical locations or logical locations.
You can ship goods only from a physical location.
If you entered a manufacturer's item number in the Item Number field, the program replaces the Item Number field contents with the inventory item number, and places the manufacturer's item number that you used in the Manufacturer's Item Number field (by default the last field in the table).
You must have already added the manufacturer's item number using the I/C Manufacturers' Items screen.
This column displays:
If optional fields are set up for transaction details, you can add or change optional fields by clicking in this column and then clicking to open the Optional Fields screen. An optional field can be set up to automatically contain information; if that optional field is associated with transaction details, this column automatically displays Yes.
Note: Optional field information can pass to the General Ledger only if the optional fields are also assigned to the general ledger accounts.
Enter the number of units being shipped for internal usage on each detail line, expressed in the unit of measure selected for the detail line.
You can ship more units than are in stock if you turned on the Allow Negative Inventory Levels option in the I/C Options screen.
When shipping items that use the user-specified costing method, enter the unit cost or the extended cost. You cannot enter costs when shipping items that do not use user-specified costing.
If you enter the unit cost or change it, the program calculates the extended cost. If you enter the extended cost or change it, the program calculates the unit cost.
Use this field to specify the unit of measure for the quantity of items being shipped for internal usage. You can select only a unit of measure that is assigned to the item in the I/C Items screen.
Inventory Control automatically displays the stocking unit for the items being shipped.
Enter the expense or asset account to which you are debiting this entry. For example, this transaction might debit the Office Supplies expense account.
By default, the program displays the Internal Usage account that is specified in the I/C category that you selected for this inventory item.
Inventory Control automatically displays the description entered for the account in the General Ledger; you cannot change it in the I/C Internal Usage screen.
Use this screen to record the withdrawal of items from inventory for your own company's use.
For example, an office supply store could take a desk from inventory for a new employee, or use office supplies, such as paper, pencils, and pens.
You can display or drill down from General Ledger to posted internal usage transactions unless you delete or clear them. However, you cannot edit the posted transactions.