Viewing WIP Transaction Distributions
View detailed accounting transactions for the job or repetitive schedule.
To view WIP transaction distributions:
2. Enter search criteria in the Find WIP Transaction Distributions window to find WIP transactions.
3. Choose the Find button.
The WIP Transactions Distribution window displays transaction dates and six alternative regions: Account, Location, Currency, Transaction, Job/Schedule, and Comments:
Account: Displays the account, transaction value, the item/sub-element, revision, and the transaction type (such as Job close variance, Resource transaction, WIP component issue, or Cost update).
Location: Displays the operation sequence, department, resource sequence (for resource transactions), subinventory, and transaction ID.
Currency: Displays currency, the transaction value (for foreign currency), and displays the conversion (exchange) rate, type (such as Spot, Corporate, or User Defined), and exchange rate date.
Transaction: Displays accounting type, the transaction source (such as the account number), the UOM, and the primary quantity (in the item's primary UOM).
Job/Schedule: Displays the job or schedule, line, assembly, and basis (Item if it is a material transaction, or Lot).
Comments: Displays transaction reason, transaction reference, and the general ledger batch ID (if not yet transferred to the general ledger).
See Also
Using Query Find
Using Query Operators
Searching For Information
Performing Query-by-Example and Query Count