Reverse Quantity/Value Adjustments

Component overview

Unified glossary

Basics of using Ramco Enterprise series web page

Using online help

This page allows you to reverse the value and Quantity adjustments in Authorized Status.

The “Reverse Quantity/Value Adjustments” page appears.

Adjustment No.

The required tax Adjustment No (Alphanumeric, 18). Mandatory. The number allotted to the adjustment entry.

Help Facility available.

Reversal Doc. No.

The required reversal Adjustment No (Alphanumeric, 18). Mandatory. The number allotted to the reversal adjustment entry.

Reversal Doc. Date

The reversal date (Date format) Mandatory

Numbering Type

Use the drop-down list box to select the required numbering type or Manual. If the numbering type is manual and if Tax adjustment number has been entered the system checks for uniqueness for the transaction type.

The system displays the following fields:

Status

The status of the adjustment.

Tax Type

The Tax Type for which the adjustment no. is created.

Tax Community

The Tax Community for which the adjustment no. is created.

Tax Region

 The Tax Region  for which the adjustment no. is created.

Adjustment Date

The adjustment date

Adjustment Type

The Type  of adjustment. It can be ‘Value’ or ‘Quantity’ or ‘Both’

Nature Of Adjustment

The Nature of adjustment of the adjustment no. The Values can be Increase / Decrease.

Finance Book

The finance book in which the transaction is accounted.

Reason Code

Reason Code for the adjustment.

Description

The Description of the reason Code.

Ref. Doc. No.

The Reference Document No. for the Adjustment No. It can be the transaction no for which the adjustment is created. Eg. Inventory Issues, Invoice Nos.

Ref. Doc. Date

The Date of the Reference Document.

Remarks

Remarks for the Adjustment.

Ref. Doc. Type

The type of the reference document.

Ref. Doc. OU

The OU of the reference document.

Classification

Indicates the classification of the adjustment, which could be “Normal” or “Opening Balance Entry” or “Deferred Credit Transfer”.

The system will display the following in the “Contra Account Information” group box:

Account Code

The code identifying the account to which the contra entry is posted

Analysis Code

The analysis code to which the selected account is mapped in the "Assign Analysis Code" activity of the "Account Based Budgeting" business component

Sub Analysis Code

The sub analysis code, which is mapped to the analysis code in the "Assign Sub Analysis Code" activity of the "Account Based Budgeting" business component

Cost Center

The cost center to which the amount is posted.

The system will display the following fields in the “Value Adjustment” group box:

Tax Code

The Tax Code selected for the adjustment no.

Account Type

The Tax Account type selected of the adjustment no.

Tax Amount

The Tax Amount for which the adjustment is created.

Dr/Cr Indicator

The Dr/Cr Flag which indicated whether the account code is debited or credited

In the adjustment.

Account Code

The code identifying the account to which the entry is posted

Analysis Code

The analysis code to which the selected account is mapped in the "Assign Analysis Code" activity of the "Account Based Budgeting" business component

Sub Analysis Code

The sub analysis code, which is mapped to the analysis code in the "Assign Sub Analysis Code" activity of the "Account Based Budgeting" business component

Cost Center

The cost center to which the amount is posted.

Manufacturer Name

The name of the manufacturer.

Manufacturer Invoice No

The invoice number of the manufacturer.

Invoice Date

The date on which the invoice was raised.

Amount

The amount of supplier invoice.

Registration Details

The excise registration details of the manufacturer.

Note: The Manufacturer Invoice Details will be provided for adjustments created for accounting the input credits which were not accounted at the time of ‘Goods Receipt’.

Tax Category

The Tax Category  selected for the adjustment no.

Tax Class

The Tax Class selected for the adjustment no.

Remarks

Remarks for the Value adjustment Line.

The system will display the following fields in the Quantity Adjustment group box:

Item Code

The code identifying the item for which the quantity adjustments are done.

Item Variant

The variant of the item.

Type of Material

Indicates the type of material which could be “Capital” or “Non Capital”.

UOM

The Unit of  Measurement in which the quantity adjustment are done.

Quantity

Quantity that is adjusted for the Item Code.

Tax Group

The tax group to which the item is mapped for the tax type, tax community and tax region combination.

Tax Category

The tax category of the adjustment.

Tax Class

The tax class of the adjustment.

Numbering Type

Use the drop-down list box to select the required numbering type for generating the Reversal Journal Voucher for Value adjustments.

The system will display the following fields in the “Journal Voucher Details” group box:

Voucher No.

Voucher No. generated on authorization of the adjustment no. for value adjustments.

Data Hyper Link available for viewing the details of the voucher no.

Voucher Date

The Date of the Journal Voucher

Total Value

The Total Value for which the voucher is generated.

Reversal Voucher No.

Voucher No. generated on reversal of the adjustment no. for value adjustments.

Data Hyper Link available for viewing the details of the voucher no.

Reversal Date

The Date of the Reversal Journal Voucher.

To proceed, carry out the following

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