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COMPANYMULTIRO - Multi Company Override J/E for R/O

Multi Company Override J/E for R/O

Affected Window: w_journal_entries_expenditure_eu

COMPANYMULTIRO1

Switch Set to Yes:

When set to Yes, when creating a Repair Order from the P/N Explorer window, the G/L entered in the R/O detail window is not validated by the part Company in the R/O header window.

eMRO_GLInterface_Yes

Note: For more information refer to Switch COMPANYMULTI via the Engineering Switches Manual.

For example, select a part via the P/N Explorer window and notice its Company, then selectr the entry and select the Create R/O button.

Notice the Company in the R/O header window. Enter all information then save.

From the R/O detail window, enter all pertinent information. In this example, the G/L field was left blank.

When the window is saved, a Drop Down Selection window pops-up for the user to select a G/L.

Users can enter any G/L Company. The field is not validated against the part Company in the R/O header window. Notice that the G/L Company is not the same as the part Company.

Once saved, release the order for authorization then receive the R/O.

From the Inventory Transaction window, the part contains its original Company information even though the R/O G/L Company is different.

After the R/O Receiving, notice that the Journal Entries for the transaction are represented by the R/O detail's G/L, via the G/L Interface/Query/Journal Entries Query window.

The R/O is then invoiced.

The R/O detail's G/L were invoiced by default.

The invoice Journal Entries were then created for the same G/L.

 

Switch Set to No:

When set to No, when creating a Repair Order from the P/N Explorer window, the G/L entered in the R/O detail window is validated by the part Company in the R/O header window.

eMRO_GLInterface_No

For example, select a part via the P/N Explorer window and notice its Company, then select into the entry and select the Create R/O button.

Notice the Company in the R/O header window. Enter all information then save.

From the R/O detail window, enter all pertinent information. In this example, the G/L field was left blank.

When the window is saved, a Drop Down Selection window pops-up for the user to select a G/L.

In this case, the field is validated against the part Company. Users must enter the same G/L Company in the R/O detail window as in the R/O header window. Notice that the G/L Company is the same as the part Company.

When this R/O is received and then invoiced, the same G/L entered in the R/O detail window will be reflected in the newly created Journal Entries.

See Also

G/L Interface Switches

CLOSEBAL - Inventory Balance Costing

COMPANYMULTI - Multi Company Setup

COMPANYMULTIEX - Validate Company of P/N used for Exchange Issue

COMPANYMULTIFR - Multi Company Form Revision

COMPANYMULTIPL - Multi Company For Picklist

COMPANYMULTIREQ - Multi Company Override for Requisition

COMPANYMULTISOPL - Multi Company for S/O Picklist

CURRENC2 - Secondary Currency

CURRENCY - Company Default Currency

F/A - Fixed Asset Information

FACREDITNEW - New Fixed Asset creates J/E and triggers Average Cost Recalculation

FAINVCOSTBALADJ - Automatically Run F/A Depreciation and Inventory Costing Balance Adjustment

FAMAIN - Use Main P/N for Fixed Asset

FAMAINREPORT - Reflect Actual Serial Number In Fixed Asset Tables

FAMANRMV - Manual Fixed Asset Removal

FARMVINS - Fixed Asset Swap at Removal and Installation of Part

FAVALUEZERO - Load Fixed Asset Below This Amount Zero

FAZERO - Do Not Allow Scrap / Sale / E/X Issue / RTV / P/N Change without Fixed Asset

GLACCC - W/O G/L Cost Center Uses A/C Tail Number

GLFIFO - Use FIFO Instead Of LIFO

GLBUDADD - Order Invoice Transfer Configuration

GLCRDATE - Current Date As G/L Date

GLCSTCNTAC - Default G/L Cost Center From A/C Master Cost Center

GLELODIE - Order Invoice Transfer Configuration

GLJEZERO - Write Zero Value for an Order's Journal Entry

INVBALPERIOD - Inventory Balance and Costing by Period

INVCOSTINGADJ - Inventory Costing and Balance Adjustment on Oracle Database

INVCOSTINGBAL - Inventory Costing and Balance Adjustment on Oracle Database

INVTRANS - Batch Number and Path

J/E - J/E Closing Date

JECRDRSQ - Credit Debit Next Sequence Number

JECRT - Journal Entry Create

JEDEL - Journal Entries Delete

JETPWSAL - Accounts Receivable account NOT charged at Third Party W/O Closing

PNMAINTOINTER - P/N Interchangeable to Main Inventory and Journal Entries Creation

REASCII128255 - Allow ASCII Characters 128-255 from JE XML

Top of Page Publication Date: 11/12/2024 Share Print