Report Reconciliation of Inventory to GL Values
Access
Use this report to research discrepancies between
the sales-side inventory valuation and the general ledger inventory value.
The report lists changes to inventory costing that occurred
during the time period selected
(when running it on demand from the menu), or
since the last Generate
Daily Reports (Day Ending/EOD)
process was run.
Three versions of the report are available:
Summary
- provides a quick total for the various classifications of transactions,
each of which either increases or decreases inventory. By looking
at the bottom line you can determine if a problem exists. If so, the
sub-totals, in comparison with General Ledger information, should
provide a clue as to what areas to target. You can then use either
the Detail version or the Audit format to pinpoint the problem.
Detail
- lists transactions that affected inventory costing changes. The
Old Cost column prints the value before the transaction. The New Cost
column is the value afterward. The difference displays in the Cost
Change GL column and is the exact dollar value of the cost change
to inventory value. The Cost Used column shows the amount posted to
GL.
Audit
- provides detailed cost change information for each piece and costing
layer.
Once the run-time options have been selected, choose
Run to produce the report.
To properly run this report, check the box at the Inventory-G/L
Reconciliation Audit field in the Costing
Control Settings. Otherwise, the system does not collect all
the data pertinent to the report.
To include this report in the Day-Ending (EOD) report process, check the
box at the Inventory G/L Recon EOD Report field in the Costing Control
Settings.
LocationThis field is used to indicate
the location or location(s) to be reported. One, multiple, or All locations
may be selected. To report on a single location, select a specific location
code from the drop-down list at this field. To report on All locations,
leave this field blank or select All from the drop-down list. To report
on multiple locations, click the Action
button at this field and use the Multiple
Location Selection window
to select the locations for this report.
CategoryThis field
is used to indicate the category or categories to be included in this
report. One, multiple, or All categories may be selected. To report on
a single category select a specific category code from the drop-down list
at this field. To report on All Categories,
leave this field blank or select All from the drop-down list. To report
on multiple categories, click the Action
button at this field and use the Multiple
Category Selection window
to select the categories for this report.
GroupThis field
is used to indicate the product group or groups to be included in this
report. One, multiple, or All groups may be selected. To report on a single
group select a specific product group code from the drop-down list at
this field. To report on All Groups, leave this field blank or select
All from the drop-down list. To report on multiple groups, click the Action button at this field and
use the Multiple
Group Selection window
to select the groups for this report.
System/Transaction Date
Date CodeClick on the Arrow button
to view a list of date
codes, then select the code that best indicates the time period on
which to base your report.
Start DateIf you
select CUS at the Date Code field, you activate this field. Use
this field to specify the start date of the custom date range for which
you want to run this report. If you click on the Calendar
Icon, you can select a date from the calendar that appears.
If you select another date
code instead of CUS, this field fills in based on that selection and
you cannot edit this field.
End DateIf you
select CUS at the Date Code field, you activate this field. Use
this field to specify the end date of the custom date range for which
you want to run this report. If you click on the Calendar
Icon, you can select a date from the calendar that appears.
If you select another date
code instead of CUS, this field fills in based on that selection and
you cannot edit this field.
Report TypeSelect
the detail level wanted for this report. Select Detail
for a detailed listing of cost changes, by transaction and product.
Select Summary for totals, by
location and transaction type, that either increase or decrease inventory.
Select Audit for detailed cost
change information for individual pieces and costing layers.
Primary SortThis field
indicates the item by which the report data will be sorted first. Select
the primary sort criteria from the drop-down list at this field.
Secondary Sort, Tertiary SortThese
fields indicate the items by which the report data will be sorted second/third.
Select the secondary/tertiary sort criteria from the drop-down list at
this field. If no secondary/tertiary sort is desired, leave the field
blank or choose None Selected.
Send Output toThe output
destination of the report displays. To change the output destination,
click on the Actions button and select Output
Settings.
Export PathIf you
select either the Personal
Report Viewer (PRV), Excel Export,
or ASCII Export, this field displays the pre-set computer drive and folder
location to which the system exports the report data. You cannot edit
the export path using this process.