Inventory journals
The
inventory journals in Supply Chain Management are used to post physical
inventory transactions of various types, such as the posting of issues and
receipts, inventory movements, the creation of bills of materials (BOMs), and
the reconciliation of physical inventory. All these inventory journals are used
in a similar way, but they are divided into different types.
Types of inventory journals
The
following types of inventory journals are available:
·
Movement
·
Inventory adjustment
·
Transfer
·
BOM
·
Item arrival
·
Production input
·
Counting
·
Tag counting
Movement
When you use
an inventory movement journal, you can add cost to an item when you add
inventory, but you must manually allocate the additional cost to a particular
general ledger account by specifying a general ledger offset account when you
create the journal. This inventory journal type is useful if you want to
overwrite the default posting accounts.
Inventory adjustment
When you use
an inventory adjustment journal, you can add cost to an item when you add
inventory. The additional cost is automatically posted to a specific general
ledger account, based on the setup of the item group posting profile. Use this
inventory journal type to update gains and losses to inventory quantities when
the item should keep its default general ledger offset account. When you post
an inventory adjustment journal, an inventory receipt or issue is posted, the
inventory values are changed, and ledger transactions are created.
Transfer
You can use
transfer journals to transfer items between stocking locations, batches, or
product variants without associating any cost implications. For example, you
can transfer items from one warehouse to another warehouse within the same
company. When you use a transfer journal, you must specify both the
"from" and "to" inventory dimensions (for example, for Site
and Warehouse). The on-hand inventory for the defined inventory dimensions is
changed accordingly. Inventory transfers reflect the immediate movement of
material. In-transit inventory isn't tracked. If in-transit inventory must be
tracked, you should use a transfer order instead. When you post a transfer
journal, two inventory transactions are created for each journal line:
·
An inventory issue at the "from" location.
·
An inventory receipt at the "to" location.
BOM
When you
report a BOM as finished, you can create a BOM journal. By using a BOM journal,
you can post the BOM directly. This posting generates an inventory receipt of
the product, together with an associated BOM and an inventory issue of the
products that are included in the BOM. This inventory journal type is useful in
simple or high-volume production scenarios where routes aren't required.
Item arrival
You can use
the item arrival journal to register the receipt of items (for example, from
purchase orders). An item arrival journal can be created as part of arrival
management from the Arrival overview page,
or you can manually create a journal entry from the Item arrival page. If you enable
the item arrival journal name to check for picking locations, Supply Chain
Management looks for a location for received items and, if there is room,
generates location destinations for the incoming items.
Production input
Production
input journals work like the item arrival journals but are used for production
orders.
Counting
Counting
journals let you correct the current on-hand inventory that is registered for
items or groups of items, and then post the actual physical count, so that you
can make the adjustments that are required to reconcile the differences. You
can associate counting policies with counting groups to help group items that
have various characteristics, so that those items can be included in a counting
journal. For example, you can set up counting groups to count items that have a
specific frequency, or to count items when stock falls to a particular level.
For information about how to define counting groups, see Define inventory counting processes.
Tag counting
Tag counting
journals are used to assign a numbered tag to a count lot. The tag should
contain a tag number, item number, and item quantity. To ensure that a tag is
used only one time, and that all tags are used, every item number should have a
unique set of tags that has its own number sequence. Three status values can be
set for each tag:
·
Used – The item number
is counted for this tag.
·
Voided – The item number
is voided for this tag.
·
Missing – The item number
is missing for this tag.
When you
post a tag counting journal, a new counting journal is created, based on the
tag counting journal lines. For more information about tag counting, see Inventory tag counting.
Working with journals
A journal
can be accessed by only one user at a time. If several users must access
journals at the same time to create journal lines, those users must select
journals that aren't currently being used, to prevent information from being
overwritten. In situations where multiple departments use the same journal
type, it's helpful to create multiple journal names (for example, one per
department). It can also be helpful to divide journals so that each posting
routine is entered in its own unique inventory journal. For posting routines
that are associated with inventory transactions, create one journal for
periodic inventory adjustments and another for inventory counting.
Posting journal lines
You can post
the journal lines that you create at any time until you've locked an item from
additional transactions. The data that you enter in a journal remains in that
journal, even if you close the journal without posting the lines.
Data entity support for inventory journals
Data
entities support the following types of integration scenarios:
·
Synchronous service (OData)
·
Asynchronous integration
Note
Not all inventory journals are OData-enabled, therefore you
cannot use the Excel data connector to get data published, updated, and
imported back to Supply Chain Management.
Another
difference between the journal data entities is the ability to use composite
entities that include both the header and line data. Currently, you can use the
composite entities for:
·
Inventory adjustment journal
·
Inventory movement journal
These two
inventory journals only support the Initialize
stock scenario as part of a data management import project:
·
When a journal header number is not specified, but a number
sequence is specified for the journal type, the import job will automatically
create journal headers per 1000 lines. For example, importing 2020 lines will
result in the following three journal headers:
o Header 1: will contain
1000 lines
o Header 2: will contain
1000 lines
o Header 3: will contain
20 lines
·
It is assumed that unique line information exists per inventory
dimension, which can be a product, storage, and tracking dimension. Therefore,
it’s not possible to import journal lines where only the date field differs on
the lines within the same import project.
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