How are the GL Accounts are Affected when Processsing a Kit through the System?
 
The Print Screens attached below <<Kit_Process_Resulting_Trans.docx>> displays the procedure that is basically followed for processing a kit through the system and the resulting transactions that hit the GL at each stage.
 
o   Issue Parts to the Kit
 
o   Move product through SFT into FGI

o   Create the Packing List and Invoice the customer

o   Create the AP Check to pay the Supplier for the components

o   Create AR Deposit for when the customer paid the original invoice