(RUS) Customs journal (form)
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
Click Inventory management > Common > All customs journals.
Use this form to create and post a customs journal for all import and export operations. You can also create customs journals by clicking the Customs journal button.
Task that uses this form
(RUS) Issue and post a customs cargo declaration for import or export operations
Navigating the form
The following tables provide descriptions for the controls in this form.
Buttons
Button |
Description |
---|---|
GTD issue |
Open the GTD issue form, where you can issue a customs cargo declaration. |
GTD posting |
Post the selected customs cargo declaration. |
GTD issue cancelling |
Open the GTD issue cancelling form, where you can cancel the issue of a customs cargo declaration. |
GTD number registration |
Open the GTD number registration form, where you can register the identification number of a customs cargo declaration. |
Facture creation |
Open the Facture creation form, where you can create a facture for the customs journal. |
KTS creation |
Open the Create KTS form, where you can create a customs cost correction for the customs journal. |
Fees calculation |
Open the Customs fees calculation form, where you can calculate storage and escort fees for goods. |
Recalculate lines |
Recalculate customs payments. |
KTS |
Open the Create KTS form, where you can verify the details of the customs cost correction. |
Facture |
Open the Facture journal form, where you can verify the details of the facture created for the customs journal. |
Ledger transactions |
Open the Ledger transactions form, where you can verify the details of the ledger transactions for the customs journal. |
Transfer journal |
Open the Transfer form, where you can verify transfer journal details for the movement of items between warehouses. |
Fields
Field |
Description |
---|---|
KTS |
A selected check box indicates that a customs value correction is created for the customs journal. |
Manually correction |
A selected check box indicates that a customs journal value is manually corrected. |
GTD number |
The customs declaration number. |
Status |
The status of the customs journal. |
Journal ID |
The identification code of the customs journal. |
Log type |
The type of customs journal. |
Partner code |
Select the identification code of the customs counteragent. |
Partner name |
The identification name of the customs counteragent. |
Vendor of customs services |
Select the type of counteragent for customs payment calculation. Select one of the following options:
|
Agreement ID |
Select the contract registration number of the customs authority or customs broker. |
Customs code |
Select the customs authority code. |
Customs name |
The identification name of the customs authority. |
Broker code |
Select the customs broker code. |
Broker name |
The identification name of the customs broker. |
Declaration date |
Select or enter the customs declaration date. |
GTD issue date |
The customs cargo declaration date. |
Customs clearance method |
Select the method to use to calculate customs payments. Select one of the following options:
|
TIR |
Enter the Transports Internationaux Routiers (TIR) number. |
CMR\BOL |
Enter the Convention on the Contract for the International Carriage of Goods by Road (CMR) number or bill of lading (BOL) number. |
CMR\BOL date |
Select or enter the CMR or BOL document date. |
Facture (system identifier) |
The identification code of the facture. |
Inventory profile |
The inventory profile for the inventory transactions. |
Country/region |
Specify the default country or region associated with the customs authority. |
Transfer journal |
The code of the transfer journal created by the issue of a customs cargo declaration. |
Include to the cost price |
Select this check box to include the customs fees in the cost price. |
Allocation base of fee |
Select the customs fee allocation to custom journal lines, from the following options:
|
Payment due date |
Select or enter the customs payment due date for the import or export operation. |
Method of payment |
Select the method of payment for customs payments on import or export operations. |
Customs terminal |
Select the customs terminal or warehouse where the goods are delivered. |
Inventory profile |
Select an inventory accounting profile. |
Cost |
The sum of the cost amount on the import invoice and the miscellaneous charges. |
Cost |
The indicative cost of the items. |
Duty |
The duty on the basis of invoice cost. |
Duty |
The duty on the basis of indicative cost. |
VAT |
The value-added tax (VAT) amount from the invoice cost. |
VAT |
The VAT amount from the indicative cost. |
Excise |
The excise fee from the invoice cost. |
Excise |
The excise fee from the indicative cost. |
Total of payments |
The total customs processing fee costs on the basis of invoice costs. |
Total of payments |
The total customs processing fee costs on the basis of indicative costs. |
CW quantity |
The quantity of processed catch weight units. |
CW unit |
The identification code of the catch weight unit. |
See also
(RUS) Create a customs journal for import or export operations
(RUS) Create customs journal (form)
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