Void/Void & Correct Fisherman & Tender Resale

The purpose of the Void/Correct Fisherman Sale (and Tender Resale) page is to void posted Fisherman Sales & Tender Resales.

  • Voiding creates a new version of the transaction that reverses the source transaction using the specified 'Default GL Date'. This reversing transaction also creates a reversing journal entry. The Status of the original transaction is changed to "Replaced" and the Status of the new Ticket is set to "Void". Only posted transactions can be voided.  When the void is complete, the Fisherman Balances are updated.  
  • Correcting does everything specified above but also creates a clone of the original transaction, with a Status of "New" that can be corrected and re-posted.

Software Version: 2023.08.31 and newer

Page Header

Toolbar Icons

Description
Grid LayoutOpens the Saved Grid Layout menu that allows the user to select another saved layout, create a new layout, save changes to a layout, or assign a saved layout as the default for the page. Once changes are made to a grid, such as columns are added or removed, the user can click the Saved Grid Layout icon and save the changes to the grid layout and name the new layout. The new layout can also be set as the default, instead of the System View. This is useful for creating specific views to separate master files or transaction types (i.e. Invoice specific vs. Credit Memo specific).

(lightbulb) The bolded view is the default view, which will determine the view will automatically display in when opened. 

Help Opens the online WIKI help page for the current page. 
Process

Attempts to process the Void and/or Void & Correct of the source transaction if there are no errors.

Successfully voiding or voiding & correcting a Fisherman Sale/Tender Resale completes the following:

  • Void: 
    • Creates a new version of the transaction that reverses the original line items and quantities. The new transaction is created as follows:
      • Transaction number: Same as the source Transaction.
      • GL Date: comes from the 'Default GL Date' specified.
      • Status: Set to Void (the source transaction's status is changed to "Replaced".
    • The new transaction's Journal Entry effectively reverses the original transaction's Journal Entry.
    • Updates the Fisherman Balances.
  • Void & Correct:  
    • Creates a new clone of the source transaction (with a new transaction ID that can be edited and re-posted from the Fisherman Accounting → Fisherman Sales List View.
    • If the transaction is Posted, all the steps outlined above for a Void will also happen.  
RefreshRefreshes the contents of the grid based on the search criteria specified.
FieldsDescription
Action

A single select lookup to identify whether the intention is to Void or Correct (Void & Correct) the Fisherman Sale/Tender Resale transaction. This defaults to blank and is required. The lookup contains the following options:

  • Correct (Void & Correct)
  • Void
Date FromA text box to enter the earliest Date you wish to see transactions for. This defaults to one year prior to the current date and is required. 
Date ToA text box to enter the latest Date you wish to see transactions for. This defaults to one year prior to the current date and is required. 
Default GL Date

A date field to identify the GL Date of the Void or correction. This default to the current date but can be set to any date on or after the transaction's GL Date that falls within a Fiscal Period that is open for Purchasing. This date will be used as the GL Date for the new version of the Ticket. 

If the Void Date entered is before the GL Date of the source transaction, the message "Cannot supply a void date prior to the transaction's GL Date." will be displayed when the Void icon is clicked. If the Void Date entered falls within a period that is not open for Purchasing, the message "The Fiscal Period is not open." will be displayed when the Void icon is clicked.

(lightbulb) If you change the Default GL Date, you must click the 'Refresh Data' icon in the header toolbar for the change to take effect.

FishermanA single select lookup to select the Fisherman you wish to void a Fisherman Sale/Tender Resale transaction for. This is not required but if selected it will limit the number of potential tickets returned in the Tickets Grid.
Transaction

A text box to identify all or part of the transaction # you wish to void or correct. This is not required but if selected it will limit the number of potential transactions returned in the Transactions Grid.

Transaction Type

A single select lookup to select the type of transaction being voided. This defaults to "Fisherman Salet" and is required. The lookup only contains options for:

  • Fisherman Sale
  • Tender Resale 

Transactions Grid

The purpose of the Transactions Grid is to show all the potential Fisherman Sale and Tender Resale transactions based on the selection criteria specified so the user can select the one being voided or corrected. Nothing in this grid with the exception of the 'Void/Correct GL Date' is editable. 

Fields

Description
CheckboxUsed to select one or more records to perform an action, such as Mass Update, More Actions, or Delete.
AmountIdentifies the total amount of the transaction.
Doc No

Identifies the Doc No (document number) for the transaction. Unlike a Transaction ID that is system assigned based on the Transaction Class of the Transaction Type, this is a manually entered value. This can be edited from the 'Doc No' on the 'Home' tab of the Record View and is used to enter a unique identifier from a pre-printed book of receipts. The Doc No value must be unique by transaction type. No two Fisherman Sale or Tender Resale Doc No values may be the same.

Database Field: ERPx_APTransactionHeader.DocNumber

Fisherman

Identifies the ID of the Fisherman, Fisherman & Tender or Tender associated with the transaction

Database Fields: ERPx_APVendor.VendorID, ERPx_APTransactionHeader.VendorSK

Fisherman Name

 Identifies the name of the Fisherman or Tender associated with the transaction.

Database Fields: ERPx_APVendor.VendorName, ERPx_APTransactionHeader.VendorSK

GL Date

Identifies the date the transaction posted (or will post) to the general ledger. 

Database Field: ERPx_APTransactionHeader.GLDate

Transaction

Transaction numbers are system assigned IDs to differentiate unique transactions. Transaction ID's are unique by the unique combination of 'Transaction Type' + 'Transaction Class'. 

Database Field: ERPx_APTransactionHeader.TransactionID

Trans Date

Identifies the date of the transaction. 

Database Field: ERPx_APTransactionHeader.TransactionDate

Void/Correct GL Date

A date field to identify the GL Date of the Void or correction. This default to the 'Default GL Date' header value but can be set to any date on or after the transaction's GL Date that falls within a Fiscal Period that is open for Purchasing. This date will be used as the GL Date for the new version of the Ticket. 

If the Void Date entered is before the GL Date of the source transaction, the message "Cannot supply a void date prior to the transaction's GL Date." will be displayed when the Void icon is clicked. If the Void Date entered falls within a period that is not open for Purchasing, the message "The Fiscal Period is not open." will be displayed when the Void icon is clicked.

Related Topics

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Page Definitions

 Technical Details

Technical Details