View Quantity/Value Adjustments
This page allows you to view the value and Quantity adjustments.
Select the “View Adjustments” Activity under the “Tax Adjustments” business component.
The “View Quantity/Value Adjustments” page appears.
Enter the following fields in the “Adjustment Information” group box:
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Adjustment No. |
The required tax Adjustment No (Alphanumeric, 18). Mandatory. The number allotted to the adjustment entry. Help Facility available. |
The system displays the following fields:
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Status |
The status of the adjustment. |
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Tax Type |
The Tax Type for which the adjustment no. is created. |
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Tax Community |
The Tax Community for which the adjustment no. is created. |
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Tax Region |
The Tax Region for which the adjustment no. is created. |
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Adjustment Date |
The adjustment date |
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Adjustment Type |
The Type of adjustment. It can be ‘Value’ or ‘Quantity’ or ‘Both’ |
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Nature Of Adjustment |
The Nature of adjustment of the adjustment no. The Values can be Increase / Decrease. |
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Finance Book |
The finance book in which the transaction is accounted. |
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Reason Code |
Reason Code for the adjustment. |
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Description |
The Description of the reason Code. |
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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. |
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Ref. Doc. Date |
The Date of the Reference Document. |
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Remarks |
Remarks for the Adjustment. |
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Ref. Doc. Type |
The type of reference document. |
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Ref. Doc. OU |
The OU of the reference document. |
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Classification |
Indicates the classification of the adjustment. |
The System will display the following in the “Contra Account Information” group box:
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Account Code |
The code identifying the account to which the contra entry is posted |
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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 |
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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 |
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Cost Center |
The cost center to which the amount is posted. |
The System will display the following fields in the “Value Adjustment” group box:
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Tax Code |
The Tax Code selected for the adjustment no. |
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Account Type |
The Tax Account type selected of the adjustment no. |
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Tax Amount |
The Tax Amount for which the adjustment is created. |
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Dr/Cr Indicator |
The Dr/Cr Flag which indicated whether the account code is debited or credited In the adjustment. |
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Account Code |
The code identifying the account to which the entry is posted |
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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 |
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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 |
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Cost Center |
The cost center to which the amount is posted. |
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Manufacturer Name |
The name of the manufacturer. |
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Manufacturer Invoice No |
The invoice number of the manufacturer. |
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Invoice Date |
The date on which the invoice was raised. |
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Amount |
The amount of supplier invoice. |
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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’
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Tax Category |
The Tax Category selected for the adjustment no. |
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Tax Class |
The Tax Class selected for the adjustment no. |
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Remarks |
Remarks for the Value adjustment Line. |
The System will display the following fields in the Quantity Adjustment group box:
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Item Code |
The code identifying the item for which the quantity adjustments are done. |
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Item Variant |
The variant of the item. |
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Type of Material |
Indicates the type of material which could be “Capital” or “Non Capital”. |
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UOM |
The Unit of Measurement in which the quantity adjustment are done. |
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Quantity |
Quantity that is adjusted for the Item Code. |
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Tax Group |
The tax group to which the item is mapped for the tax type, tax community and tax region combination. |
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Tax Category |
The tax category of the adjustment. |
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Tax Class |
The tax class of the adjustment. |
The System will display the following fields in the “Journal Voucher Details” group box:
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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. |
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Voucher Date |
The Date of the Journal Voucher |
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Total Value |
The Total Value for which the voucher is generated. |
The System will display the following fields in the “Reversal Details” group box:
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Reversal Doc. No. |
The Document No through which the adjustment no has been reversed. The details will be displayed when the adjustment status is ‘Reversed’ |
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Reversal Doc. Date |
The Date on which the adjustment is reversed |
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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. |
To proceed, carry out the following
Select the “View Accounting Information” link at the bottom of the page to view the accounting entries passed for the value adjustments.