Overview
Within the month-end check, all financial transactions must be posted in the period they took place. In general, you need to identify financial documents such as invoices, debit and credit notes, etc., actually issued during the month but not yet received by the company or not yet recorded in the system.
The process includes check of reference documents, pending vendor invoices registration before the last day of the closing month.
Another way to understand unaccounted financial documents is to check recent reconciliations of financial debt and transactions with counterparties containing any deviations.
As a result of the process, the month-end check of purchasing documents is performed.
Perform month-end check in Warehouse flowchart
Check the completeness of warehouse operations flowchart
How to check open inventory counts or stock adjustments in period
How to check open goods receipt planned in closing period
How to check open goods shipment planned in closing period
How to check open material demand with planned consumption in closing period
Зайти в отчет Состояние обеспечение заказов, установить фильтр на поле Желаемая дата отгрузки - меньше дня конца периода.
Проанализировать, был ли в действительности потреблен товар.
Потребовать обновить желаемые сроки.
Paths
Path | Warehouse and delivery → Warehouse reports → Ведомость товаров на складах |
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In-app link EN code | |
In-app link RU code |
e1cib/data/Справочник.ВариантыОтчетов?ref=a7a9000d884fd00d11e4c18017750119
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How to check negative warehouse stock of goods
Зайти в настройки отчета, установить период, установить фильтр Остатки на складе меньше 0.
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