GL Units incorrect when Advanced Pricing Adjustment posts to Revenue Account w/Summarized Sales Upda
Has anyone found a creative work around to allow for the Units in the GL (F0911) to be correctly updated when the Sales Update is run in summary, Branch/Plant Constants are set to Write Units to Journal Entries, and Advanced Pricing is setup to make entries to the revenue account? Thisis a known issue - Bug 10977747, which states this is "working as designed" and really provides no work-around. In a nutshell:
- if there is a positive adjustment to the base price (assum only 1 unit for simplicity sake), the revenue entry is for quantity 1, and the adjustment entry is for 1, thus the summary units are 2, when posting both to the same account.