Our client wants to see actual (adjusted) item costs on job ledger entries. As standard, job ledger entries hold the cost picked up from the item at the time of entry. I am reluctant to tamper with the 'Adjust Cost - Item Entries' job, so I am imagining a separate batch job which picks up the cost-adjusted item ledger entry(ies) per job ledger entry and updates the 'Unit Cost' and 'Total Cost' on the job ledger entry.
However, it doesnt look as if there is enough information in the standard system to definitely identify which item ledger entry(ies) relate to any given job ledger entry. The client uses lot numbering, although I dont think this is relevant.
Does anyone have any suggestions about how I could approach this please.
Thanks in anticipation.
Bob
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Freelance Dynamics AX
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Regards
Raj
In NAV 5.0 job ledger entry posting was adapted match to item ledger entry. In version 4.0 that didn’t happened. Adjusting job entries in version 4.0 must be taken a different match.
Freelance Dynamics AX
Blog : http://axnmaia.wordpress.com/