Blair38
11 months agoContributing User
Inventory Variances
Hi,
We have huge inventory variances between the inventory ledger and the GL. I have identified that the variances are due to product builds. The product build is using the inventory account in the account column, not the COGS account, as recommended on your support pages. When I check the item set up, it appears set up correctly (file attached). We do our product builds in tall emu and the item set up is identical to the MYOB set up.
How do I get the account to go to the COGS and not the inventory account, which causes the imbalance?