Register and Update

 

Function

This task follows the Select Cycles for Freeze, the Print Count Sheets tasks, and the Physical Count Entry tasks. The Register and Update task finalizes the physical inventory activities and updates the item quantities.

 

=> To access this task...

Select Register and Update from the Inventory Control  Physical Inventory menu.

 

Register and Update

 

About the Fields

 

In the Warehouse ID field...

  • Enter a valid warehouse code for the inventory to include on the register.

  • Click Click to select from a list of warehouse codes.

Cycle codes are displayed in a list. Mark the checkboxes next to the cycle records to select them for running the register and updating the records.

 

When finished selecting cycles...

  • Click Run Process button to begin the register and update process.

The system displays the prompt:

 

Print register for selected cycle codes?

  • Click [Yes] to create the register for the selected cycle codes.

  • Click [No] to return to the Physical Inventory menu.

Register and Update Cycle Code output

Sample Register and Update

 

See Output Options.

 

After selecting the document output, the system issues the following prompt:

 

Run Register and Update?

  • Click [Yes] if the register contains the correct information for updating the inventory file.

  • Click [No] if the information is incorrect and the inventory file should not be updated. Use the Physical Count Entry task to make corrections.

When the updating process is complete, the system issues the following:

 

Update process completed

Updating

As the physical inventory update proceeds, item numbers display on the screen to show its progress. This process can take some time for a large inventory. Any quantity variances that are a result of the physical count process are updated directly to the Inventory Master File and an inventory transaction is written. In a lotted/serialized inventory, the Physical Inventory Register update affects the Lot/Serial Number Master File, Lot/Serial Number Sort File, and the Lot/Serial Number Transaction File.

 

There are no general ledger postings made as part of the update. Any adjustments to the general ledger must be made using the Journal Entry task within the General Ledger module. At the conclusion of the update process, the physical inventory processing queue is cleared of all updated selections.

 

NOTE: If a small number of count errors occurred and are discovered after printing the Physical Inventory Register, you may want to proceed with the update anyway rather than making the corrections and reprinting the entire register. Adjustments can be made with the Inventory Transaction Entry task.

 

Remember the physical count update posts the calculated adjustment amount to the Inventory Master File (i.e., the difference between the system’s on-hand amount when the cycle was “frozen” and the physical count amount), while the inventory transaction update makes an adjustment by the actual amount entered in the Inventory Transaction Entry task.



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