IC> Maintenance> Category Maintenance

Create a Category in IC

 

Summary

 

After you have created account types, you need to set up category codes to define what journal entries will be created when inventory actions or processes take place. Category codes define the different types of transactions you will be working with in Inventory Control and which account types should be debited and credited in the transaction.

 

For example, if you receive inventory items into the warehouse the journal entry would be a debit to the inventory account and a credit to the inventory clearing account. A category titled Receipt must be set up with the user defined account types so the system will know which GL accounts to debit and credit.

 

If you change the GL distribution of a Category and then reverse that transaction that is attached to the category, the transaction will be reversed using the original GL accounts attached to the category.

 

Related Links

 

Click here for information on Account Type Maintenance.

Click here for information on setting up the Accounts Payable module.

 

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