2. EMP Configuration
2.1 Control Panel > System Admin > EMP Configurations > Trading
Account Payable Not Due GL Short Hand: Select: accPayableInTransit
2.2 Control Panel > System Admin > EMP Configurations > Procurement >
Supplier Consignment GL Short Hand > Select: suppConsignmentStock
Supplier Consignment Variance GL Short Hand > Select: consignmentStockVariance
3. Received Consignment Stock from Supplier
Procurement > Create Supplier Consignment
- the UI for this function is similar to Direct Receiving Stock.
- however, the document that will be created is called Supplier Consignment In (SCI). The tables involved are :
- inv_consignment_index
- inv_consignment_item
- inv_stock
- inv_stock_delta
- acc_journal_transaction
- acc_journal_entry
- it will not create the SINV
sample JTXN @ RM 1000
+ 6% GSTDebit Credit suppConsignmentStock 1000 This GL is taken from EMP Configuration > Procurement > Supplier Consignment GL accPayableInTransit 1000 This GL is taken from EMP Configuration > Trading > Account Payable Not Due GL To view the Journal Entry: Accounting > Journal and Ledger > Jtxn Listing
4. Procurement > Supplier Consignment Billing
- 1. specify the supplier, branch, date, remarks, reference number
- 2. add item by selecting from a list of items that the supplier has yet to bill
- however, the document that will be created is SINV + Supplier Consignment Convert (SCC)
- Changes sample JTXN (Let’s say supplier bills cheaper @ RM 900 + 6% GST)
SCC
Debit Credit inventory 1000 This will follow the consigned in price suppConsignmentStock 1000 This will follow the consigned in price consignmentStockVariance 100 Difference btw consigned in price and actual billing price accPayableInTransit 100 consignmentVariance * -1
SINV
Debit Credit accPayableInTransit 900 This will follow the actual supplier price accPayable 954 This will follow the actual supplier price gstInput 54 This will follow the actual supplier price
5. Procurement > When return to supplier without billing
- the document that will be created is called Supplier Consignment Out (SCO). The tables involved are :
- inv_consignment_index
- inv_consignment_item
- inv_stock
- inv_stock_delta
- acc_journal_transaction
- acc_journal_entry
- it will not create the CM
Changes sample JTXN @ RM 1000
Debit Credit consignmentStock 1000 This will follow the consigned in price accPayableInTransit 1000 This will follow the consigned in price
6. Supplier Consignment Listing
- filters
- Branch
- Supplier
- Date
- Consignment Type (SCI, SINV from Consignment, SCO)
- SCO without CM
- listing columns
- No
- Consignment No
- Branch Running No
- Date
- Supplier Pkid
- Supplier Name
- Description
- Type
- User
- Amount
7. Supplier Consignment Stock Balance
- filters
- Branch
- Supplier
- Items
- listing columns
- No
- Supplier Pkid
- Supplier Name
- Item Code
- Item Name
- Balance Qty
8. GST will only be recorded for the SINV
- -| gstInput| XXX | | This GL is taken from Input Tax Default GL Code for filling