Transaction entry functions that create GL journals
These functions, when run, automatically create journals and transactions that update General Ledger accounts:
- CR Check Center Entry
- CR Reconciliation Center Entry
- Customer Cash Receipt Entry
- Customer Entry Batch Update Report
- Customer Entry Roll Balances Report
- Customer Lockbox Entry Update Report
- Customer Payment Reversal Entry
- Customer Transaction Entry
- GL Administrator Distribute Profit Report
- GL Administrator Asset and Liability Revaluation Report
- GL Entry Batch Update Report
- GL Entry Distribute Automatically Report
- GL Entry Reverse A Journal Report
- GL Transaction Entry
- KP Administrator Cost Kits From Components Report
- KP Work Order Center Entry
- Product Adjust Non-stock/Direct Order Entry
- Product Adjustment Entry
- Product Entry Count Update Report
- Product Entry Import Average Cost Report
- Product Maintain Cost Entry
- Product Unavailable Inventory Entry
- Product Warehouse Inventory Audit Report
- Product Warehouse Transfer Entry
- PD Administrator Price/Costs Update Report
- PD Change Price and Cost Entry
- PD Rebate Reconciliation Entry
- PD Vendor Price Change Entry
- Purchase Receipt of Inventory Entry
- Sales Drawer Transaction Entry
- Sales Entry Batch Update Report
- Sales Entry Invoice Processing Report
- Sales Entry Processing Back Order Fill Report
- Sales Order Entry
- Transfer Exception Receipt Entry
- Transfer Receipt of Inventory Entry
- Transfer Shipping Entry
- VA Receipt of Inventory Entry
- VA Shipping Entry
- Vendor Entry Batch Reconciliation
- Vendor Invoice Center Entry
- Vendor Entry Group Update/Reconcile Invoices Report
- Vendor Entry Pay Invoices Due Report