PM> Adjustments

Creating Adjustments in PM

 

Summary

 

The PM Adjustments process is used to adjust the balance or create line items on a Project Management module task. Adjustments or transactions created in this process will not update other modules. For example, if you use this process to change the task that was charged by AP invoice line item, this process will make the adjustment to the PM module task codes but it will not change the PM task that displays on the AP invoice line item.

 

When creating adjustment entries in this process, you have the option of including a GL account number. If a GL account is selected on an adjustment, a journal entry will be created by the process and the specified GL account will be affected. If a GL account is not selected, the line item will create a journal entry but will not impact the general ledger.

 

Related Links

 

Click here for information on Task Maintenance.

Click here for information on Type Maintenance.

 

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