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- Contract amounts are updated if the cost code is assigned to a job that has the following: a contract type of Cost Plus or Cost Plus NTE in the Job Maintenance window; a profit type ID of Flat Rate per Unit in the Job Cost Codes Setup window; and an amount in the Profit Amount field in the Job Cost Code Setup window.
- Contract amounts are not updated if the cost code is assigned to a job that has a profit type ID other than Per Unit Amount, Total Dollar Amount, Flat Rate per Cost Code, or Flat Rate per Unit.
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Step 1: Set up
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Unit Adjustment
The unit adjustment document type sets the document number for the unit adjustment transactions that you enter.
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- Select Microsoft Dynamics GP > Tools > Setup > Job Cost > Job Cost Setup > Number Options.
- In the Unit Adjustment field, enter a description and next number. The field is set to unit adjustment and 1.
- Select Save.
Step 2: Enter a
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Unit Adjustment Transaction
- Select Transactions > Job Cost > Unit Adjustment Entry.
- Complete the following fields, as necessary.
- Transaction Number
The next available number defaults but can be changed. - Batch Number
Enter a Batch Number. - Document Date, Transaction Description
The user date defaults as the Document Date. - Job Number, Cost Code Number
Enter a Job Number and Cost Code Number. - Actual Units, Transaction Description
Enter the Actual Units and a Transaction Description. The unit transaction's description appears in the Transaction Description field in the scrolling window. You can change this description. Instead of the unit transaction description, when printing transaction-level billing invoices, labor cost codes show the cost code description and non-labor cost codes show the cost code transaction description.
- Transaction Number
- Save or post the transaction. The document date is used as the posting date.
- To print a Unit Adjustment Entry Edit List, select File > Print when the Unit Adjustment Entry window is open.
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