Can anyone help to set up the IM module correctly so that beginning inventory balance of Raw Materials (RM), Finished Goods (FG), and WIP all flows correctly in all modules including the GL? Now, at the beginning and at month-end I have to make JEs to disburse as follows;
i.e. 7/1/08:
Beg.Bal RM-COGS DEBIT
Beg.Bal RM-Balance Sheet CREDIT
AND same JEs for FG and WIP
End. Bal RM-Balance Sheet DEBIT
End. Bal RM-COGS CREDIT (PURCHASE ACCOUNT)
Thanks!
i.e. 7/1/08:
Beg.Bal RM-COGS DEBIT
Beg.Bal RM-Balance Sheet CREDIT
AND same JEs for FG and WIP
End. Bal RM-Balance Sheet DEBIT
End. Bal RM-COGS CREDIT (PURCHASE ACCOUNT)
Thanks!