Purchase orders / Stock holding / Ledger
Posted: 03 Jun 2016, 10:48
HI Folks,
Sage details:
Version Number 22.1.10.394
SBD Desktop Version 12.1.586.0
Sage 50 Accounts Professional
Microsoft Windows 7 Professional 64-bit
I have a question about Inventory stock holding?
When I raise a PO and book it in the stock is booked against the ledger code selected for the product if I'm correct ( so stock value will be Qty x cost price£)
When I adjust stock/stock take/write off does this just affect the product Qty on the ledger code (stock value becomes new qty x cost price £)
Do these adjustments create postings anywhere or do they just increase/decrease the stock figure? (We dont sell any stock we are using it purely for in house stock management)
When our accounts do month end where does is the stock valuation generated from? Is the stock accounted twice (once on the ledger code, once on the month end closing stock total)
Is is better to raise all products on orders onto a single stock holding ledger code then book out at month end onto the individual ledger codes by product using Stock Valuation?
Where do the "Stock nominal code (balance sheet)"
and "Closing stock nominal code (P&L)"
tie in?
thanks
Craig
Sage details:
Version Number 22.1.10.394
SBD Desktop Version 12.1.586.0
Sage 50 Accounts Professional
Microsoft Windows 7 Professional 64-bit
I have a question about Inventory stock holding?
When I raise a PO and book it in the stock is booked against the ledger code selected for the product if I'm correct ( so stock value will be Qty x cost price£)
When I adjust stock/stock take/write off does this just affect the product Qty on the ledger code (stock value becomes new qty x cost price £)
Do these adjustments create postings anywhere or do they just increase/decrease the stock figure? (We dont sell any stock we are using it purely for in house stock management)
When our accounts do month end where does is the stock valuation generated from? Is the stock accounted twice (once on the ledger code, once on the month end closing stock total)
Is is better to raise all products on orders onto a single stock holding ledger code then book out at month end onto the individual ledger codes by product using Stock Valuation?
Where do the "Stock nominal code (balance sheet)"
and "Closing stock nominal code (P&L)"
tie in?
thanks
Craig