Finalise Stocktake Counts
You can access this form from the Count Entry form, or the Approve Stocktake Variances form, or from the Process > Inventory menu. Use this form when you are ready to confirm the stocktake counts, and generate the automatic stocktake adjustment transactions.
If the current stocktake is based on a template against which final update options are assigned, the values in the template defaults to this form when it is launched.
Options Reference
Each option and field on the form is described below. Mandatory options and fields are highlighted in red.
Stocktake Name
If you access this form from the Count Entry or Approve Variances forms, this defaults to the stocktake name. Otherwise, select the stocktake name for which you are finalising counts.
Processing Date
The default value is today's date, but you can change the transaction entry date (the posting date will be determined from the date entered when the stocktake was prepared).
Status
This displays the status of the stocktake.
Branch
This is taken from User Preferences if a branch is assigned there, otherwise it will default from IN Module Control. You can select a different branch.
Pos Adj Reference
Enter a reference for the positive stocktake adjustments. This must be unique across Greentree.
Pos Adj Trans Type
Enter the transaction type that are applied to the positive adjustments. You can select from a type that is set up in Transaction Type Maintenance, and this will increase inventory.
Pos Adj Tax Code
Select the tax code that are applied to the positive adjustments.
Neg Adj Reference
Enter a reference for the negative stocktake adjustments. This must be unique across Greentree.
Neg Adj Trans Type
Enter the transaction type that are applied to the negative adjustments. You can select from a type that is set up in Transaction Type Maintenance, and this decreases inventory.
Neg Adj Tax Code
Select the tax code to apply to the negative adjustments.
Warehouse Bin Management
If Warehouse Bin Management is in use there are additional transactions created.
Item in error - Cancel update
Sometimes, as a stocktake is being finalised, and transactions are being processed automatically, an error may occur, for the same reason an error may occur if a user was entering a transaction. For example, the posting period is closed, the location is invalid, the adjustment will result in a negative on-hand balance where Allow negative available is false for the item, and the like.
When you select this option, if an error is encountered during processing, a message displays on form that describes the error. When you click OK on the error message, the finalise/update stocktake process will be aborted, and no transactions will be processed (including any that would not have resulted in an error). The status of the stocktake returns to what it was before the update.
Item in error - Continue update
Sometimes, as a stocktake is being finalised, and transactions are being processed automatically, an error may occur, for the same reason an error may occur if a user was entering a transaction. For example, the posting period is closed, the location is invalid, the adjustment will result in a negative on-hand balance where Allow negative available is false for the item, and the like.
When you select this option, if an error is encountered during processing, Greentree will continue to process and create transactions for all items that do not result in an error. When the process is complete, a table displays which lists the items that encountered an error, and the reason why.
The status of the stocktake remains on Waiting to update counts. This gives you an opportunity to correct errors, and then repeat the update process for remaining items. When the update is successfully completed, the transaction batch number displays to indicate the process is complete.
Update Now
Click this button when all information is entered and you are ready to generate the transactions. When this button is clicked, Greentree generates positive and negative adjustment transactions, using the information provided here, and the variance amounts between the quantity in Greentree and the counted quantity for each unique item/location/serial/lot number combination.
The inventory on-hand balances for all items included in the update process updates with the quantities counted in the stocktake.