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How to remove from Received/Not Invoiced

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Hello,

How can I remove an item from the received not invoiced report in this scenario?  We received an item in March of 2012 that was never invoice matched.  It was cycle-counted out (IV Variance) and is no longer available for return.  We are cleaning up old RNI stuff and I need to make this come off the report and keep the financials correct.  If I manually close the PO, I know it will remove it from the RNI report, but I don't want to make manual entries to the GL.  The only thing I can think of is to enter a new IV variance to reverse the old cycle count, then use the inventory return feature to get it out of stock and remove the amounts from the accrued purchases and inventory accounts.  Is that correct?  Is there an easier way?  I have over 800 of these to do and the extra transaction would really slow me down.  Thanks in advance for any input you have.

-Trevor


GP2013 and Account Framework

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We are migrating vairious version of Dynamics GP2010 onto a single instance.  Can GP2013 support one instance for Dynamics GP with mutiple account framework structures?

Microsoft Business Framework will not stay started.

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The Microsoft Business Framework for portal will not stay stared.  It is setup with Network Service account and will start, but then immediately stops.  This is the error message in event viewer.  Dynamics Security Console has no errors and portal runs fine, but of course the HR workflow is failing.

The description for Event ID 0 from source MbfQueuedWorkItemService cannot be found. Either the component that raises this event is not installed on your local computer or the installation is corrupted. You can install or repair the component on the local computer.

If the event originated on another computer, the display information had to be saved with the event.

The following information was included with the event:

WorkItem ID=f7344962-cad9-4d5b-a671-9234f30b350f error. Could not Approve one or more selected tasks. : Invoke workitem action failed.

the message resource is present but the message is not found in the string/message table

Thanks,

Tanya

Install GP as standalone - on my laptop

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hi all,

my company is user of GP, as a client / not a partner.

can i install GP licensed under my company, to my pc/laptop as standalone?

server & client.

those plan is for learning purposes and due to bandwith issue.

my question is regarding legal issue and technical issue :)

Thx,

Warm Regards.

Dexterity Test Mode Error

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Hi,

I have recently gotten a new machine.  Whenever I try to to go to test mode in Dexterity, I receive the following messages:

"A get/change operation on  table 'syUserDefaults' cannot find the table"

click more info and get:

"Microsoft][SQL Server Native Client 10.0][SQL Server]Invalid object name 'SY01402'."

If I click OK and try to log in again I receive the following error:

"Your attempt to log into the serve failed because the user ID you entered is already logged in. Remove the log in record from the server and attempt to log in again".

I cannot figure out what is wrong.  I have copied the dex.ini file from my GP2010 folder to the data folder in the Microsoft Dexterity folder with the same result.  The only thing I can think of is that Dex is installed in Program Files (x86) folder but that makes no sense since I am receiving a SQL error.  Perhaps it is something to do with the ODBC connection?  It is the same one I use to connect to GP normally and I have no problems unless going through Dex.

Any help would be appreciated,

Catherine

Issue with Serial numbers and no information

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Thanks for helping me. We have GP 10 and a user did a receive and during it the system froze at a point and now we have 5 serial numbers in the system however they do not have any information associated with them. I did a reconciliation and Check list at night, but this did not fix the issue.

When I go to Inquiry - Inventory - Serials it brings up the item name and when I enter the serial number to add it says "Serial number has already been entered for the selected item."

I am new to GP and can really use the help, as they look to me, the IT guy to solve all computer issues. Thanks so much in advance!!

To Do Entry in HR & Payroll

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I am entering employee review dates and cannot seem to make the To Do Entry window come up when I want it to or access it after I’ve entered a reminder. I would like to be able to check that I create a reminder using this feature and change them as need be, but can’t get back into the window to do so. Please help.

An example to accompany my previous email (included below)

Traveler report with Components

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Can I add the BIN location to the traveler report?  I need this to tell my assembly workers where to pick the component parts. I need to use the traveler report because our assemblies are created in a series of sequences linked to the BOM.


PO Approval History

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Hello,

We have a PO that was sent to the vendor, but we cannot figure out who approved it. Since then, it has become unapproved, and the original approver data appears to have been lost.

Can anyone help us find out the user that approved this PO?

Is there a report that captures everytime a PO is approved that we can run?

Bank Reconciliation

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We are having a problem balancing the bank balance to the book balance in the bank reconciliation module.  Recently we started a new procedure where all banking activity goes through cash receipting or payables.  When we have a wire transfer or EFT or anything like that we are doing an increase or decrease adjustment where we used to do journal entries for those.  We had a couple of items in the beginning of the year that a journal entry was done and in order to get the bank balance to match the GL we had to do the reconcile adjustment entry.  In the past this entry didn't hit the GL but they are now which is throwing off our GL balance.

My question is, now that I have this problem how do I get rid of it?

If I do another entry of the reverse of what I did before then the bank balance is going to be off and how am I supposed to correct that?

Also, last month we had some NSF's that crossed years, how do we get those to reconcile?  

Thank you for any and all help!!

GP 2013 crashes when clinking on save button on Asset General Information window

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GP 2013 crashes when clinking on save button on Asset General Information window. This is only happenig in one company. While if I click on next record arrow after doing any changes then clicking  on save button on the small screen, the record is saved without error.

Great Plains Data Masking

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Is there a way within Great Plains 2010 or through an add on application to do data masking for Great Plains

Enter/Match Partial Cost Change - Inventory Versus GL Test

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Balancing General Ledger against Inventory has always been a tremendous headache. I have always spent several weeks handling Inventory-GL issues which theoritically would not take more than few days. The problem in our case is represented with "cost-adjustment" primarily which results from improper appliction of certain processes.

This headache has motivated me to create a sort of test-environment in order to detect all the associated factors affecting the IV-GL balance. Aside from the issues resulting from the improper application (which is not my topic now), I have found out that there is a specific case in MS Dynamics GP 10, in which the system contributes to the IV-GL imbalance, which might be called  "Enter/Match Partial Cost Change".  I will thoroughly explain this point as follows;

Stage 1 - Receiving a Shipment

Receivng Transaction Details:

Document Number

Type

Item

Quantity

Unit Cost

Extended Cost

RCT000000889

Receiving

A

100

39.25

3925

Inventory Module:

IV30300

Item

TRXQTY

Unit Cost

EXTDCOST

IVIVINDX

IVIVOFIX

A

100

39.25

3925

Inventory Warehouse

Accrued Purchases

IV10200

Item

QTYRECVD

Unit Cost

EXTDCOST

ADJUNITCOST

A

100

39.25

3925

39.25

SEE30303

Item

TRXQTY

Unit Cost

EXTDCOST

IVIVINDX

IVIVOFIX

JRENTRY

Dr

Cr

A

100

39.25

3925

IV Warehouse

Accrued Purchases

X

3925

0

 General Ledger :

 GL20000

JRENTRY

Account Index

Dr

Cr

X

Inventory Warehouse

3925

0

X

Accrued Purchases

0

3925

Stage 2 - Enter/Match Invoice:

On the Enter-Match winodw, I will suppose that part of the shipment will have the same Unit Cost (regardless of the quantity), while the other part of the shipment cost will increase or decrease (same result either in the increase or decrease.)

Enter/Match Transaction Details: 

Document Number

Type

Item

Quantity Invoiced

Unit Cost

Extended Cost

RCT000000890

Invoice

A

80

39.25

3140

RCT000000890

Invoice

A

20

50

1000

 Inventory Module:

Inventory module assumes that all the cost layer is adjusted to have a unit cost of (50).Therefore, it calculates the difference between the old Extended Cost (100*39.25 = 3925) and the new Extended Cost (100*50 = 5000) and the difference between the two which is (1075) is debited on the inventory warehouse account.

IV30300

Item

TRXQTY

Unit Cost

EXTDCOST

IVIVINDX

IVIVOFIX

A

100

39.25

3925

Inventory Warehouse

Accrued Purchases

A

0

0

1075

Inventory Warehouse

COGS

IV10200

Item

QTYRECVD

Unit Cost

EXTDCOST

ADJUNITCOST

A

100

50

3925

39.25

SEE30303

Item

TRXQTY

Unit Cost

EXTDCOST

IVIVINDX

IVIVOFIX

JRENTRY

Dr

Cr

A

100

39.25

3925

IV Warehouse

Accrued Purchases

X

3925

0

A

0

10.75

1075

IV Warehouse

COGS

Y

1075

0

 General Ledger :

On the other hand, General Ledger can detect correctly that the change on the unit cost is partial, while the other part of the cost layer still have the same cost. Therefore, it calculates the cost adjustment as follows;

Old Extended Cost = 100*39.25 = 3925

New Extended Cost = (80*39.25)+(20*50) = 4140

And the difference is 4140 – 3925 = 215

 GL20000

JRENTRY

Account Index

Dr

Cr

Y

Inventory Warehouse

215

Y

Accrued Purchase

4140

Y

COGS

3925

As a result of the explanation above, GP creates an imbalanced Journal entries between GL and Inventory in this case specifically (partial change of the unit cost) because of having different modules behaviors.

I wish I could discuss this issue with the community members in order to gain further knwoledge on the IV-GL behaviors regarding cost-adjustment.

 

Best Regards,

Mahmoud Saadi

Guidelines for creating Excel worksheet to use as an integration

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Help!  New to GP and cannot find documentation anywhere that will guide me through formatting an excel spreadsheet to import into GP.  The system guides do not address this.  Does anyone know where I can find guidance?

PO Received But Can't Find Item in Inventory

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User created a PO for a Sales Inventory Item with Lot Tracking turned on.  She received the shipment, but says she was not prompted for lot numbers.  The PO is received and I can see the receiving transaction in Financial.  In Inventory, there is no trace of the item.  It shows 0 quantities and nothing in the item inquiries or lot inquiries.  When running reports for the item, it only shows 0.

Help?


"Copy to" Function for edited master account

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Hello, 

Let say i already created an item master data

example

item code : Item-001

description : Billiard Stick  

and copy it to all company (10) Company , using "copy to" function on Item Maintenance User Interface.

After that, i realize there is a mistake on description, it should be : "Golf Stick".

do i have to login to each company, to change and save new description?

or can i just edit the new description on one company, and copy it again to all company? -> (actually I've tried this option, its failed, system halt it, and said "already same item code with different desc or u.o.m")

Thank You for sharing :)

Dynamics GP UK EFT - BACs

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We are on GP 9.0 & using Albany as BACs payment solutions which is an approved provider for UK BACS payment services. Our Cheque batch posting module is a modified window with custom codes which generates text file for BACS & also posts batch. Now our company has requirement to setup another non-BACS payment, is there any solution readily available via GP inbuilt such as EFT or SafePay or any other provider offer such functionality apart from Albany in UK?

 Thanks

How to re-do a prior bank reconciliation

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Hello,

We are wanting to know how/if we can re-do a previous day bank reconciliation.  We have a duplicate check item posted to the checkbook by mistake.  One item is correct in that it is in the checkbook and posted thru to the GL.  However, the other is incorrect because it is only in the checkbook and did not post all the way thru to the GL.  We see this happen sometimes with our integrated items from using eConnect.  So the checkbook is incorrect with two entries, while the GL is fine since it just has the one.  We were not aware of the incorrect item and that it should have been voided out of the checkbook (only) when we went to do our daily bank rec.  We mistakenly marked off the incorrect check item when doing our prior day's bank rec and the rec was completed.  Therefore, it is after the fact that we are looking to void the incorrect entry and want to re-do our prior day's bank rec so it will be in balance with our GL.  

How do we re-do the prior day's bank rec at this point?  When we put in all of the information on the bank rec screen, it takes us to the screen where you mark/unmark items, however, it doesn't give us the opportunity to unmark that incorrect item since it is now considered a cleared item because of what we did above.    

If we cannot re-do the bank rec, I believe I know what the work around would be - we would enter an IAJ entry and block the posting thru to the GL.  This will adjust our checkbook balance to the proper balance, and have no affect on the GL which is what we want.  Then on our next bank rec, we simply mark off this IAJ entry and the correct check entry which we should have marked in the first place.  Our next rec still will not balance to the GL, but it will be off the same amount we were on the prior day's rec and that difference will be in the opposite direction.  So on the third day of our bank recs, we will be back to balancing between the GL and checkbook.

Please let me know if I missed anything.  

Thank you.

Val

New Hire Reporting in GP

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I am needing to setup a state required New Hire reporting.  I want the file to upload using the state website which calls for an ASCII fixed width file.  I can export the information needed from the Smartlist, but I can't get it into the appropriate file format required by the state.  How does everyone else deal with their New Hire reporting?

Can you reprint a check from 'Print Check' in Payables Trx?

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If you use the Payables Trx to enter an invoice and then print a check from the same screen (Print Check button on the bottom right), can you reprint this same check? If I want to use the Post Checks button, I can't pull up this check because there's no batch ID for it. It's not in the Void Historical Trx window either.  I think this is because, according to an Inquiry, this check is still in "Work" table. Are the options available to you in the Post Checks window (Post Checks, Print Stub Alignment, Void Checks, Reprint Checks) not available to those checks printed from the Payables Trx window??

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