Costing Control Settings
Access
Tabs: General, Exception Handling
Use this routine to specify your methods for calculating the cost of sales, commissions, and returns-to-vendor. To specify how you want to handle cost exceptions when the system finds a zero cost, use the Exception Handling tab.
The available costing methods are:
The system also uses these settings to define commission add-on percentages. You can include the landed freight and/or add-on cost values when calculating the landed cost.
Some system control settings are personnel only.
To view costing information, use the View Product Cost Activity routine.
General
General Ledger Postings
Salesperson Commissions
Return to Vendor
Retain Days
Solved Cost ExceptionsEnter the number of days you want to retain solved cost exceptions data prior to purging.
Costed Auditing DataEnter the number of days you want to retain costed auditing data prior to purging.
Costing Table DataEnter the number of days you want to retain costing table data prior to purging. The system purges costing table data during the first End-of-Month process that occurs after the number of days you specify here. The system starts counting the days when a received product is no longer available, for example it is sold or adjusted.
Commission Add On %
Reduce Customer Returns %To automatically reduce the price and cost of all merchandise on customer returns and exchanges, enter the reduction percentage here. Enter a positive number, not exceeding 100. To establish this percentage by product group, leave this field blank and instead use the Reduce Customer Returns % field in Group Settings.
Depreciate Repossessions %
Calculate Received Landed By
Landed Cost Distribution
Landed Add-on Cost Label
Landed Add-on Cost Label Drop-Down
Select the Checkbox to Activate the Setting
DEPRECIATE REPOSSESSIONS - At Landed Cost
DEPRECIATE REPOSSESSIONS - Use the Monthly Table
GENERAL LEDGER - Always Adjust Stocked Inventory at the Average Cost
GENERAL LEDGER - Post RTV Write-off of Landed Cost Assests against Landed Liability Accounts
GENERAL LEDGER - Post RTV Valuation Difference At Completion
LANDED FREIGHT - Active
LANDED FREIGHT - Add-on Cost 1 Active
LANDED FREIGHT - Add-on Cost 2 Active
LANDED FREIGHT - Add-on Cost 3 Active
LANDED FREIGHT - Add-on Cost 4 Active
REDUCE CUSTOMER RETURNS - Prorate the Landed/Freight Value
REPORT - Generate a Purge Report of Solved Costing Exceptions
REPORT - Generate Inventory to General Ledger Reconciliation Data
REPORT - Include in the Daily Reports an Inventory Reconciliation
SPECIAL ORDER - Calculate the same as Stocked Products
Exception Handling
Automatic Handling of Cost Exceptions
Use this tab to specify how you want to handle cost exceptions when a zero cost is found (Automatic Handling of Cost Exceptions). The system checks for zero costs during the following processes:
Customer Returns Zero CostSpecify how you want to handle zero-cost exceptions for customer returns.
Customer Returns Non Zero CostSpecify how you want to handle non zero-cost exceptions for customer returns.
Warehouse Receipts Zero CostSpecify how you want to handle zero-cost exceptions for warehouse receipts.
Positive Adjustments Zero CostSpecify how you want to handle zero-cost exceptions for positive inventory adjustments.
Skip on ZeroThis field is active only if you choose either Use Average or Use Replacement Cost in the corresponding zero cost exception handling field. If you check the box at this field, the system "skips" the exception when a zero cost exception exists but no average cost or replacement cost exists. The system accepts the inventory at zero cost and clears the exception. The accepted cost exception appears in the Report Solved Costing Exceptions routine, which runs at End of Day or on demand.
Inventory AP Approval
Next Cost Exception Number(LOCKED - STORIS access ONLY!) The system uses the number in this field to assign numbers to cost exceptions.
To correct type 4 cost exceptions, you must use the manual method via the Correct a Cost Exception routine.