AAIs for JD Edwards EnterpriseOne Grower Management
These AAI tables determine which accounts are debited and credited when you enter a weigh tag:
Table |
Table Name |
Description |
---|---|---|
4326 |
Weigh Tag Price Adjustments |
Account derived to handle individual weigh tag price adjustments to the Account Ledger (F0911) table. |
4335 |
Standard Cost |
Account derived to handle the variance amount when the item's Sales/Inventory Cost Method is set to 07, standard cost. |
4338 |
Reprice Variance/Inventory |
Account derived to handle reprice variance amounts for items not using a standard cost method and that have inventory interface of C, D, or Y (stock items). |
4339 |
Reprice Variance/Non Inventory |
Account derived to handle reprice variance amounts for items meeting these conditions:
|