Reviewing the Container Reconciliations Report

Select Container Management (G4118), Container Reconciliations.

The Container Reconciliations Report (R41185) analyzes the transactions for each item with a line type for full containers, finds the cross-referenced empty containers for each of the full containers, and calculates the ending balance of containers in each branch. This report includes:

  • Quantity delivered and returned for each container

  • Quantity on hand by branch for each container

  • Total quantity in the company for each container

  • Grand total of all containers in the company

You can also set the appropriate processing option to print the totals for the company only.

You can run the R41185 program in proof or update mode. If you run the program in update mode, it creates records by item and branch/plant in the Container Reconciliation table. It also places a 1 in the reconciliation flag field in the Container Transaction table. The next time you run the Container Reconciliations program, it will not read these transactions.