About Transaction Processing in Inventory Control
About Transferring Stock Items that Use FIFO or LIFO Costing
All goods that are transferred between locations using a goods-in-transit location must be received separately at the destination location.
To receive goods transferred from another location:
Accept the "***NEW***" identifier displayed in the Document Number field to start a new receipt.
Tip: If "***NEW***" does not appear, click the Create New button.
The program automatically assigns a document number when you save or post the transaction.
Alternatively, you can enter a new transaction number yourself, and then press .
The transfer details appear on the screen.
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.
If the items use the user-specified costing method, type the unit cost and extended cost.
If you received all items, use the Completed field to mark the detail line as completed.
If you received the full requested quantity, the program automatically marks the detail Completed when you post the transaction.
If you mark a detail Complete before all goods are received, the unreceived items remain in the goods-in-transit location, and you will have to create a new transfer to move them to the destination location.
Important! When you click Post, if the Prompt to Delete During Posting option is selected (on the Processing tab of the I/C Options screen), the program asks you if you want to delete the transaction. Click No unless your company always deletes posted transactions. If you delete the posted transaction, you will not be able to drill down to the transaction details from General Ledger.