(RUS) Wizard for cost value adjustment of inventory transactions or entire on-hand inventory (form)
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
Use this form to adjust the inventory value after financial updates or to adjust the cost value of the entire on-hand inventory.
Open the form
Click Inventory management > Periodic > Closing and adjustment.
Select a transaction that has a transaction type of Closing accounts.
Hinweis
You must select a transaction only if you want to use the On-hand method of cost value adjustment.
Click Adjustment > Wizard.
Navigating the form
The following tables provide descriptions for the controls in this form.
Pages
Page |
Description |
---|---|
Welcome |
The introduction to the wizard form. |
Method of cost value adjustment |
Select a cost value adjustment method from the following options:
|
Selection result |
Review the items or item transactions that are selected for adjustment. |
Functions for calculating adjustment amounts |
Select a method to use to calculate adjustment amounts, from the following options:
|
Results of allocation |
Update the inventory transaction details, based on the chosen method that is used to calculate adjustment amounts and the adjustment values. |
Adjustment to fixed cost price |
Enter the fixed cost price for the inventory item. After adjustment, the item cost price is adjusted to that of the unit price. |
Adjustment with amount |
Enter the increase or decrease in the inventory cost value in accordance with the allocation principle that is selected in the Allocation principle field. After adjustment, the total cost value is increased or decreased by the specified amount, in proportion to the quantity or cost price of the on-hand inventory. |
Adjustment to value |
Enter the total inventory value after adjustment, in terms of the allocation principle. |
Percentage adjustment |
Enter the percentage value that is used to adjust the total cost value for the selected item. |
Balance from ledger account or dimensions |
Specify a ledger account or dimensions to calculate the adjustment amount. Hinweis The Results of allocation page is opened only when you select a ledger account with a debit balance. |
Posting |
Specify how the adjustment transactions or the entire on-hand inventory adjustment is posted. |
Finish |
Select the Show ledger voucher list check box to view the transactions in the Voucher transactions form after the cost value adjustments are performed. |
Buttons
Button |
Description |
---|---|
Inventory |
Open a menu with the following option:
|
< Back |
Go to the previous page of the wizard form. |
Next > |
Go to the next page of the wizard form. |
Cancel |
Close the form. |
Select all |
Select all the balance lines that are displayed. The Select check box for each balance line is selected. |
Deselect all |
Clear the Select check box for all the balance lines that are displayed. |
Functions |
Open a menu with the following option:
|
Fields
Field |
Description |
---|---|
On-hand |
Select this option to adjust the selected on-hand inventories. |
Transactions |
Select this option to indicate that the inventory transactions are used for cost value adjustment. |
Date financial |
The transaction date. |
Item number |
The unique identification code of the item. |
Storno |
A selected check box indicates that the cost price adjustment posted in the ledger is reversed. |
Posted quantity |
The quantity of the item that is posted. |
Posted value |
The financial cost amount of the item that is posted. |
Cost amount |
The amount of the posted cost price adjustments for the item. |
Price |
Enter the fixed cost price per unit for the item. |
Amount |
Enter the increase or decrease in the total price or quantity of the selected item. |
Allocation principle |
Select an allocation principle from the following options:
|
Value |
Enter the value for the selected item after the adjustment. |
Percent |
Enter the percentage that is used to adjust the total cost value of the selected transactions. |
Main account |
Select the main account for which the balance must be determined to calculate the adjustment amount for the selected transactions. |
Balance on the date |
Select or modify the date on which the balance is determined for the selected main account. |
Balance account |
Select this option to indicate that the main account balance is determined. |
Balance from ledger account and dimensions |
Select this option to indicate that the main account balance is determined by using specific dimensions. |
Dimension set |
Select a dimension set. For more information, see Formular "Finanzdimensionssätze". |
Select |
Select this check box to include a line of the balance amount in the adjustment calculation. |
Balance (debit) |
The debit balance amount in the main account. Hinweis This field is available only when you select the Balance account option on the Balance from ledger account or dimensions page. |
Balance (credit) |
The credit balance amount in the main account. Hinweis This field is available only when you select the Balance account option on the Balance from ledger account or dimensions page. |
Amount |
The main account balance for the dimension line. |
Charges code |
Select the charges code for the item. |
Amount for allocation |
The total main account balance amount that is used for adjustment. |
Adjustment date |
Select the date on which the transaction is posted. |
Amount for allocation |
The total amount for allocation. |
Storno |
Select this check box to indicate that the cost price adjustment transaction that is posted to the main account is reversed. |
Specification |
Select how transaction adjustments are posted, from the following options:
|
Note |
Enter a note about the adjustment. |
Corr. account profit/loss |
Select this check box to post the cost price adjustments to the profit or loss accounts that are indicated in the item posting profiles. If you clear this check box, the cost price adjustments are posted to the offset account specified in the Corr. account field. When the adjustment is posted by using this form, Corr. account is defined in the following ways:
|
Corr. account |
Select the offset account to which the cost price adjustment is posted. Hinweis You can also specify dimension for the selected offset account. |
Show ledger voucher list |
Select this check box to view the transactions that are posted in the ledger after you close the wizard. |
See also
(RUS) Allocate a charges code during inventory adjustment
Announcements: To see known issues and recent fixes, use Issue search in Microsoft Dynamics Lifecycle Services (LCS).