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:

  • Cost method other than standard.

  • Variance flag in line type constants is selected.

  • Inventory interface other than C, D, or Y (non-stock items).