Setting Service Distribution Accounts
Use the Service Distribution Accounts form to specify accounts based on product code and warehouse.
- Specify this information: 
           
- Product Code
 - Select a product code for the account. Product codes are set up to hold general ledger account information for use in posting expenses and revenue for service orders and service contracts.
 - Warehouse
 - The warehouse code where the item is located is displayed.
 - Warranty Accounts
 - Select the general ledger accounts to be used for posting expenses to an SRO for a unit that is under warranty.
 - Amortization Accounts
 - Select the specific account from the chart of accounts to use for the amortization.
 - Amortize Contracts
 - Select this check box to include contracts in the amortization process.
 - Total Periods
 - Specify the total number of periods that the total amortization amount will be divided between. For the purposes of amortization, each month end date designates the end of period.
 - Consumable
 - Select a code from the Miscellaneous Issues Reason Codes form to use for the receipt of consumable items following warehouse transfers. Items can be marked as consumable on either the Service Item/Warehouse Planning form or the Item Whse tab of the Service Items form.
 
 - Save your changes.