AXForum  
Вернуться   AXForum > Microsoft Dynamics AX > DAX Blogs
All
Забыли пароль?
Зарегистрироваться Правила Справка Пользователи Сообщения за день Поиск Все разделы прочитаны

 
 
Опции темы Поиск в этой теме Опции просмотра
Старый 03.10.2015, 02:35   #1  
Blog bot is offline
Blog bot
Участник
 
25,459 / 846 (79) +++++++
Регистрация: 28.10.2006
emeadaxsupport: BOM Journal postings in AX 2012 R3 vs. earlier versions of AX 2012
Источник: http://blogs.msdn.com/b/axsupport/ar...f-ax-2012.aspx
==============

I have recently done some investigation in regards to the accounting transactions taking place during the posting of BOM journals in AX 2012 R3, and have found that there is a difference in the accounting transactions taking place in AX 2012 R3 vs. what was experienced in earlier versions of AX 2012. Please consider the following results of posting BOM journals in AX 2012 R2 vs. earlier versions of AX 2012:

1. AX 2012 R3:

a. Inventory and warehouse management | Setup | Inventory | Item groups, Production tab:

- Production, receipt: Inventory account for finished products (Debit)

- Production, issue: Inventory account for materials (Credit)

b. Inventory and warehouse management | Setup | Inventory | Item groups, Inventory tab:

- Inventory, profit: Profit account for inventory profit (Debit)

- Inventory, loss: Loss account for inventory loss (Credit)

2. AX 2012 R2 and earlier:

a. Inventory and warehouse management | Setup | Inventory | Item groups, Production tab:

- Production, receipt: Inventory account for finished products (Debit)

- Production, issue: Inventory account for materials (Credit)

- Production, issue offset: WIP account (Debit)

- Production, receipt offset: WIP account (Credit)



The reason why changes were made in AX 2012 R3 relative to the accounting transactions taking place during BOM journal posting is due to the following:

- Retail introduced the concepts of Kitting and De-kitting and this could lead to the fact that balances were caught on WIP accounts that would never be cleared out. As WIP are balance sheet accounts in nature, this would lead to incorrect results.

- When making a negative BOM journal and running Inventory close, the system does not ripple the adjustments correctly back through the Raw materials which would leave a difference in WIP.



I hope that this information is helpful for those exploring BOM journal functionality across versions of AX 2012!




Источник: http://blogs.msdn.com/b/axsupport/ar...f-ax-2012.aspx
__________________
Расскажите о новых и интересных блогах по Microsoft Dynamics, напишите личное сообщение администратору.
 

Похожие темы
Тема Автор Раздел Ответов Посл. сообщение
emeadaxsupport: Warning when installing AX 2012 R3 Application hotfix: The model store you selected requires a newer version of the installer than the one you're using. Blog bot DAX Blogs 0 03.09.2015 15:11
emeadaxsupport: Visual Studio Tools for Microsoft Dynamics AX 2012 R3 CU8 now requires Microsoft Visual Studio 2013 Blog bot DAX Blogs 0 25.11.2014 00:12
emeadaxsupport: AX for Retail 2012 R3 Receipt Printing Enhancements: Print Multiple Logos and Select Images in AX Client Blog bot DAX Blogs 0 25.10.2014 08:14
emeadaxsupport: Final Microsoft Dynamics AX 2012 R2 Content Available! Blog bot DAX Blogs 0 04.12.2012 06:12
DAX: Official Dynamics AX 2012 R2 Content (update) - Where is it, and how can you find out about updates? Blog bot DAX Blogs 0 03.12.2012 11:11
Опции темы Поиск в этой теме
Поиск в этой теме:

Расширенный поиск
Опции просмотра

Ваши права в разделе
Вы не можете создавать новые темы
Вы не можете отвечать в темах
Вы не можете прикреплять вложения
Вы не можете редактировать свои сообщения

BB коды Вкл.
Смайлы Вкл.
[IMG] код Вкл.
HTML код Выкл.
Быстрый переход

Рейтинг@Mail.ru
Часовой пояс GMT +3, время: 16:09.
Powered by vBulletin® v3.8.5. Перевод: zCarot
Контактная информация, Реклама.