Inventory transactions (form)
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2, Microsoft Dynamics AX 2012 Feature Pack, Microsoft Dynamics AX 2012
Click Product information management > Common > Released products. On the Action Pane, click the Manage inventory tab. In the View group, click Transactions.
Use this form to view all issue transactions and receipt transactions that are associated with the selected product or product master. For product variants that are based on a product master, transactions are created for the product master.
Navigating the form
The following tables provide descriptions for the controls in this form.
The tabs and controls that were added to this form for the Warehouse management features in Microsoft Dynamics AX 2012 R3 are not described in this topic. For information about these features, see Warehouse management.
Tabs
Tab |
Description |
---|---|
Overview |
View a list of transactions. |
General |
View additional information about the transaction that is selected on the Overview tab. |
Update |
View information about the physical, ledger, financial, and settlement updates of the selected transaction. |
Ledger |
View the posting and account information that is attached to the ledger account for the transaction that is selected on the Overview tab. |
Reference |
View account number references for both Procurement and sourcing and Accounts receivable. |
Other |
View or enter additional information about the selected transaction, such as additional update information, details about item returns, and system and project information. |
Financial dimensions - financial |
View information about financial dimensions for financial transactions, such as the default dimensions and where the dimensions are used in account structures and advanced rule structures. |
Financial dimensions - physical |
View information about financial dimensions for physical transactions, such as the default dimensions and where the dimensions are used in account structures and advanced rule structures. |
Inventory dimensions |
View information about inventory dimensions for the selected product or product variant. |
Buttons
Button |
Description |
---|---|
Inventory |
Open a menu that contains the following items:
|
Ledger |
Open a menu that contains the following items:
|
Functions |
Open a menu that contains the following items:
|
Configuration details |
View the configuration variables for the selected item. |
Fields
Field |
Description |
---|---|
Configuration |
The item configuration, which specifies an item that has specific characteristics. |
Size |
The size of the item. |
Color |
The color of the item. |
Warehouse |
The warehouse in which the item is stored. |
Batch number |
The batch number dimension of the item. |
Serial number |
The serial number dimension of the item. |
Physical date |
The date on which the items were received or picked. |
Financial date |
The date on which the items were invoice updated or cost accounted through production. |
Reference |
The origin of the transaction. |
Number |
The number of the reference type that is specified in the Reference field. |
Receipt status |
The current status of the receipt transaction. If this field is empty, the transaction is an issue. The receipt statuses are as follows:
|
Issue status |
The current status of the issue transaction. If this field is empty, the transaction is a receipt. The issue statuses are as follows:
|
Quantity |
The quantity for the transaction, in inventory units. The quantity shows receipts and issues. Issues are indicated by a minus sign. |
Cost amount |
The inventory value for the quantity that is financially updated, such as in an invoice update. |
Item number |
The identifier of the item. |
Type |
The origin of the transaction. |
Number |
The customer or vendor account number. |
Party |
The name of the customer or vendor account. |
Inventory reference |
The production journal or output order from which the transaction is processed. |
Inventory number |
The inventory order number from which the transaction is processed. |
Project ID |
The identifier of the project that generated the inventory transaction. |
Lot ID |
The lot number that is related to the transaction. |
Reference lot |
The reference to the lot ID. |
Dimension No. |
The unique number that identifies the inventory dimension values for the inventory transaction. |
Receipt status |
The status for receipt transactions. If this field is empty, the transaction is an issue. |
Issue status |
The status for issue transactions. If this field is empty, the transaction is a receipt. |
Value open |
A value of Yes indicates that the transaction is financially open. |
Expected date |
The date of the expected transaction, such as the delivery date for a sales order. |
Inventory date |
The date on which items were registered or picked. |
Requested ship date |
The date when the items must be shipped to meet the customer's requested receipt date. |
Confirmed ship date |
The date when the order will be shipped as confirmed. |
Non-financial transfer |
If this check box is selected, the transaction is related to a non-financial transfer. A non-financial transfer is a transfer between two inventory dimensions. Non-financial transfers are not financially tracked. |
Transfer lot ID |
The identifier of the transfer lot. |
Physical voucher |
The voucher number that is used when you post unrealized costs for items that are updated on a packing slip or a product receipt. The voucher number is based on the numbering convention that is used in General ledger. |
Route |
The route number of a specific subroute. This subroute is the active subroute that was overridden on the bill of materials (BOM) line. If this field is empty, the active subroute is used. |
Packing slip |
The packing slip number that is generated when an item is picked or received on a packing slip or product receipt. |
Physical cost amount |
The estimated physical inventory value of the inventory record. |
Physical revenue |
The physical revenue that is posted when the packing slip is updated. |
Physically posted |
If this check box is selected, the estimated value of the physical inventory that is associated with the inventory record is posted to General ledger. |
Financially posted |
If this check box is selected, the inventory value of the financially updated quantity that is associated with the inventory record is posted to General ledger. |
Physical turnover posted |
If this check box is selected, the deferred revenue of the estimated inventory value that is associated with the inventory record is posted to General ledger. Tip For a packing slip update, the accrued revenue of a transaction can be posted to General ledger. Select the Post to Deferred Revenue Account on Sales Delivery check box for the item model group that is associated with an item. Item model groups are configured in the Item model groups form. |
Financial date |
The date of the financial transaction. This date is the date on which the items are invoice updated or cost accounted through production. |
Financial voucher |
The voucher number that is used in invoice updating or costing. |
Invoice |
The invoice number that is saved when an invoice is updated for a sales order or a purchase order. |
Adjustment |
The adjustment of the cost amount. The adjustment can, for example, be the result of closing the inventory. |
Profit and loss, posted amount |
The sum of the amounts that have been offset and posted to the operating account, such as for posting inventory journals. |
Unposted invoice |
The identifier of an invoice that has not been posted for a purchase order that is associated with the inventory transaction. Note A value is displayed in this field only if the receipt status is Received or the issue status is Deducted. |
Financially closed |
The date on which the transaction was financially closed, such as when the full quantity was financially settled. |
Settled quantity |
The quantity that has been financially settled. |
Amount settled |
The cost value that has been financially settled. |
Posting - physical |
The posting type for the estimated physical inventory value of the inventory record. The posting types are associated with an account and an offset account in General ledger. The corresponding account numbers are listed in the Accounts - physical field group. |
Posting - financial |
The posting type for the inventory value of the financially updated quantity. The posting types are associated with an account and an offset account in General ledger. The corresponding account numbers are listed in the Accounts - financial field group. |
Posting - physical revenue |
The posting type for the accrued physical revenue of the inventory record. The posting types are associated with an account and an offset account in General ledger. The corresponding account numbers are listed in the Accounts - physical revenue field group. |
Unit |
The unit of measure that is applied for the item quantity. |
Unit price |
The price per unit of the items on the transaction line. |
Discount |
The discount per unit of the items on the transaction line. |
Discount percent |
The discount percentage of the order line. Note If a discount is defined per unit of the items, the discount percentage is calculated after the discount per unit is subtracted. |
Line amount |
The amount of the transaction line after the discount has been subtracted. |
Transaction currency |
The currency that is associated with the transaction. |
Currency |
The currency that is associated with the item receipt. |
Fixed receipt price value |
The standard cost price for the transaction, converted to the cost value. |
Category |
The project category for the project that is used. |
Packing slip |
If this check box is selected, items on this transaction have been returned. |
Invoice |
If this check box is selected, items on this transaction have been returned on a credit note. |
Return lot ID |
The lot number of a returned item. The return lot number is used on credit notes in Accounts receivable, or in journals that have a journal type of Inventory adjustment or Transfer. |
Status date |
The date that is associated with the transaction's status. |
Estimated time |
The scheduling time for inventory transactions, with regard to job-scheduled productions. |
Project ID |
The identifier of the project that is associated with the transaction. |
Activity number |
The project activity that is associated with the transaction. |
Category |
The project category that is associated with the transaction. |
Adjustment number |
The project adjustment that is associated with the transaction. |
Default financial dimensions |
The default financial dimensions for the main account. When you select a financial dimension value, the Where the %1 dimension is used field group displays where the dimension is used in account structures and advanced rule structures. |
Where the %1 dimension is used |
The account structures and advanced rule structures that use the financial dimensions that you selected in the Financial dimensions or Default financial dimensions field group. Note The name of the field depends on the selection in the Financial dimensions or Default financial dimensions field group. |
Location |
The location of the items inside a warehouse. |
Pallet ID |
The unique identifier of the pallet. |
Announcements: To see known issues and recent fixes, use Issue search in Microsoft Dynamics Lifecycle Services (LCS).