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存货自由项的使用

2014-12-16 0:0:0 用友T1小编

存货自由项的使用

原因分析:在库存单据中,启用的存货自由项要参与到可用量计算,所以在填写出入单时默认的自由项都是必输项。问题解答:如果存货不需要用自由项进行区别,在存货档案中可以不对其进行自由项的启用。

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一般纳税人公司,开销售什么什么软件的税率是17%,开什么什么软件开发的税率是6%,对吗

一般纳税人公司,开销售什么什么软件的税率是17%,开什么什么软件开发的税率是6%,对吗 一般纳税人公司,开销售什么什么软件的税率是17%,开什么什么软件开发的税率是6%,对吗[]

对的
产品销售是17% 技术开发与咨询服务是6%
好的,谢谢啦

应收单据不能录入

应收单据不能录入 应收单据不能录入

U8知识库
问题号:2174
解决状态:最终解决方案
软件版本:其他
软件模块:应收
行业:其他
关键字:U8应收应付
适用产品:u821
问题名称:应收单据不能录入
问题现象:应收单据不能录入
问题原因:因为数据库中的两个视图有错误。
解决方案:可以把正确的视图复制过来,重新创建,具体的脚本如附件。
drop view Ap_SalBillCust
go
create view Ap_SalBillCust as SELECT Customer.cCCCode AS cDWCCode,CustomerClass.cCCName as cDWCName,Customer.cDCCode AS cDWDCode,DistrictClass.cDCName,CASE WHEN Customer.cCusName‘‘ THEN Customer.cCusName ELSE Customer.cCusAbbName END AS cDWName,Customer.cCusPPerson AS cHPsnCode,Person_1.cPersonName as cHPersonName,Customer.cCusDepart AS cHDptCode,Department_1.cDepName as cHDepName,Customer.cCusHeadCode AS cHDWCode,
CASE WHEN Customer_1.cCusName‘‘ THEN Customer_1.cCusName ELSE Customer_1.cCusAbbName END AS cHDwName,Customer.iCusCreLine AS iCreLine, Department.cDepName, Person.cPersonName, Inventory.cInvName,Inventory.cInvCCode,InventoryClass.cInvCName,
Ap_VouchType.cTypeName,dDate+IsNull(PayCondition.iPayCreDays,0) AS dExpireDate,dDate+IsNull(PayCondition_1.iPayCreDays,0) AS dExpireDate_DW,dDate+IsNull(PayCondition.iPayFaDays,0)AS dFaDate,PayCondition.cPayName, SaleBillVouch.cCusCode AS cDWCode, SaleBillVouch.cDepCode AS cDeptCode, SaleBillVouch.cPersonCode AS cPerson,SaleBillVouch.cMemo AS cDigest,
SaleBillVouch.cInvalider as cInvalider,SaleBillVouch.cChecker,SaleBillVouch.dDate AS dVouchDate, SaleBillVouch.cVouchType, SaleBillVouch.cSBVCode AS cVouchID, SaleBillVouch.cMaker, SaleBillVouch.cVerifier AS cCheckMan, SaleBillVouch.cPayCode, SaleBillVouch.cexch_name, SaleBillVouch.iExchRate, SaleBillVouchs.cInvCode, SaleBillVouchs.iNatSum AS iAmount, SaleBillVouchs.iSum AS iAmount_f,
SaleBillVouchs.iMoneySum AS iFmount,SaleBillVouchs.iExchSum AS iFmount_f, SaleBillVouchs.iQuantity AS iAmount_s, SaleBillVouchs.iNatUnitPrice AS iprice, SaleBillVouchs.iNatTax AS ino_id,1-bReturnFlag as bd_c,bpayment,bFirst,cClue FROM ((((((((((((SaleBillVouch LEFT JOIN Ap_VouchType ON SaleBillVouch.cVouchType = Ap_VouchType.cTypeCode) LEFT JOIN Customer ON SaleBillVouch.cCusCode = Customer.cCusCode)
LEFT JOIN Department ON SaleBillVouch.cDepCode = Department.cDepCode) LEFT JOIN Person ON SaleBillVouch.cPersonCode = Person.cPersonCode) LEFT JOIN PayCondition ON SaleBillVouch.cPayCode = PayCondition.cPayCode) INNER JOIN (SaleBillVouchs LEFT JOIN Inventory ON SaleBillVouchs.cInvCode = Inventory.cInvCode) ON SaleBillVouch.SBVID = SaleBillVouchs.SBVID)
LEFT JOIN PayCondition AS PayCondition_1 ON Customer.cCusPayCond = PayCondition_1.cPayCode) LEFT JOIN CustomerClass ON Customer.cCCCode=CustomerClass.cCCCode) LEFT JOIN Customer as Customer_1 ON Customer.cCusHeadCode=Customer_1.cCusCode) LEFT JOIN DistrictClass ON Customer.cDCCode=DistrictClass.cDCCode) LEFT JOIN Department as Department_1 ON Customer.cCusDepart=Department_1.cDepCode) LEFT JOIN Person as Person_1 ON Customer.cCusPPerson=Person_1.cPersonCode) LEFT JOIN InventoryClass ON Inventory.cInvCCode=InventoryClass.cInvCCode
Where cChecker Is Not Null And isnull(cInvalider,‘‘)=‘‘
go
drop view Ap_PurBillVend
go
CREATE VIEW Ap_PurBillVend as SELECT Vendor.cVCCode AS cDWCCode,VendorClass.cVCName as cDWCName,Vendor.cDCCode AS cDWDCode,DistrictClass.cDCName,
Case When Vendor.cVenName‘‘ Then Vendor.cVenName Else Vendor.cVenAbbName End AS cDWName,
Vendor.cVenPPerson AS cHPsnCode,Person_1.cPersonName as cHPersonName,Vendor.cVenDepart AS cHDptCode,Department_1.cDepName as cHDepName,
Vendor.cVenHeadCode AS cHDWCode,CASE WHEN Vendor_1.cVenName‘‘ THEN Vendor_1.cVenName ELSE Vendor_1.cVenAbbName END as cHDWName,
Vendor.iVenCreLine AS iCreLine,Department.cDepName, Person.cPersonName, Inventory.cInvName, Inventory.cInvCCode,InventoryClass.cInvCName,
dPBVDate+IsNull(PayCondition.iPayCreDays,0) AS dExpireDate,dPBVDate+IsNull(PayCondition_1.iPayCreDays,0) AS dExpireDate_DW,
dPBVDate+IsNull(PayCondition.iPayFaDays,0)AS dFaDate,Ap_VouchType.cTypeName,
PayCondition.cPayName,PurBillVouch.cUnitCode AS cDWCode, PurBillVouch.cDepCode AS cDeptCode, PurBillVouch.cPersonCode AS cPerson,PurBillVouch.cPBVMemo AS cDigest,
PurBillVouch.dPBVDate AS dVouchDate, PurBillVouch.cPBVBillType AS cVouchType, PurBillVouch.cPBVCode AS cVouchID, PurBillVouch.cPBVMaker,
PurBillVouch.cPBVVerifier AS cCheckMan, PurBillVouch.cPayCode, PurBillVouch.cexch_name, PurBillVouch.cExchRate AS iExchRate,
PurBillVouchs.cInvCode, PurBillVouchs.iSum AS iAmount, PurBillVouchs.iOriSum AS iAmount_f,PurBillVouchs.iTotal AS iFmount,
PurBillVouchs.iOriTotal AS iFmount_f, PurBillVouchs.iPBVQuantity AS iAmount_s, PurBillVouchs.iCost AS iprice, PurBillVouchs.iTaxPrice AS ino_id,PurBillVouch.dSDate,
bNegative as bd_c,bpayment,bFirst,bOriginal,cClue,iNetLock
FROM ((((((((((((PurBillVouch LEFT JOIN Ap_VouchType ON PurBillVouch.cPBVBillType = Ap_VouchType.cTypeCode) LEFT JOIN Vendor ON PurBillVouch.cUnitCode = Vendor.cVenCode)
LEFT JOIN Department ON PurBillVouch.cDepCode = Department.cDepCode) LEFT JOIN Person ON PurBillVouch.cPersonCode = Person.cPersonCode)
LEFT JOIN PayCondition ON PurBillVouch.cPayCode = PayCondition.cPayCode) INNER JOIN (PurBillVouchs LEFT JOIN Inventory ON PurBillVouchs.cInvCode = Inventory.cInvCode)
ON PurBillVouch.PBVID = PurBillVouchs.PBVID) LEFT JOIN PayCondition AS PayCondition_1 ON Vendor.cVenPayCond = PayCondition_1.cPayCode) LEFT JOIN
VendorClass ON Vendor.cVCCode=VendorClass.cVCCode) LEFT JOIN Vendor as Vendor_1 ON Vendor.cVenHeadCode=Vendor_1.cVenCode) LEFT JOIN DistrictClass ON
Vendor.cDCCode=DistrictClass.cDCCode) LEFT JOIN Department as Department_1 ON Vendor.cVenDepart=Department_1.cDepCode) LEFT JOIN Person as Person_1 ON
Vendor.cVenPPerson=Person_1.cPersonCode) LEFT JOIN InventoryClass ON Inventory.cInvCCode=InventoryClass.cInvCCode

使用技巧

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    经常出现账套年度演示期限已到期,怎么办?

         最近经常有用户在使用用友财务管理软件的时候提示“演示期限已到期”,如下图。特别是T3用户,T+、T6和U8用户也会出现类似问题。越是报税期越出现的频繁,越是着急越是出问题,出现这种问题, 不能做账填制会计凭证了,也出不了财务报表,很多会计都非常的着急。该怎么办呢?别着急啦,本文会详细讲解决方案。全心全意为用户排忧解难是用友天龙瑞德公司的服务宗旨。

     image


  • 麻烦问下,T3升级T6,是不是要先安装6.1,用工具升级,再导出帐套,安装6.5,再升级到6.5?

    麻烦问下,T3升级T6,是不是要先安装6.1,用工具升级,再导出帐套,安装6.5,再升级到6.5?

    麻烦问下,T3升级T6,是不是要先安装6.1,用工具升级,再导出帐套,安装6.5,再升级到6.5? 麻烦问下,T3升级T6,是不是要先安装6.1,用工具升级,再导出帐套,安装6.5,再升级到6.5?[]

    [/强]
    您好!您理解的是对的,要在T6 6.1环境下使用T3升级T6的工具,升级完成后,恢复到6.1环境,备份出6.1的数据,安装6.5,再升级到6.5

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培训教程

  • 还没开票的做到预收科目,那成本可以先做进去吗?

    还没开票的做到预收科目,那成本可以先做进去吗?

    还没开票的做到预收科目,那成本可以先做进去吗? 还没开票的做到预收科目,那成本可以先做进去吗?[]

    有收入才能结转成本的
    那成本挂哪个科目啊?
    其他应收款吗?
    @若只如初见520:要是销售的产品的话,产品本来做在库存里啊,要是人工施工的话,做在工程施工里,等有了收入在结转成本的
    成本与收入相对应,确认收入才能结转成本
    我们是人力资源公司,签了一份人事代理协议,代缴五险一金。之前收到他们的钱做了预收账款,还没给开票,现在给他们缴纳了五险一金,这些费用是入到成本吗?
    @若只如初见520:代付代缴应该走其他应收款/其他应付款
    @口袋的天空焕:那我做到其他应收款,等到开票了,有收入后,把预收的转入主营业务收入,其他应收款转入主营业务成本,,这样对吗
    @若只如初见520:代缴的五险一金你们也给开票么?
    @口袋的天空焕:开在一张发票上面,昨天还一直纠结这个问题,受累帮忙看看
    代缴的五险一金你们不是已经说到客户的款项了么,那个不应该作为你们的成本吧?
    @口袋的天空焕:我现在也纠结是做成本还是其他应收款冲了,税务局说这张发票的开票金额都要入营业额,那我支出的是不是成本
    @若只如初见520:。。。那要是代缴的五险一金都算是收入的话,那你们为客户缴纳五险一金的时候也走的是管理费用啊

  • 进入总账提示所选行业性质与科目不相符,去检查表提示数据库严重损坏,修复数据提示成功,再去检测又是严重错误

    进入总账提示所选行业性质与科目不相符,去检查表提示数据库严重损坏,修复数据提示成功,再去检测又是严重错误

    进入总账提示所选行业性质与科目不相符,去检查表提示数据库严重损坏,修复数据提示成功,再去检测又是严重错误 进入总账提示所选行业性质与科目不相符,去检查表提示数据库严重损坏,修复数据提示成功,再去检测又是严重错误[]

    反复执行修复工具,直到修复到没有错误为止。建议备份好之前数据,损坏严重的情况下,也有可能修复不好,无限报错。
    use ufdata_071_2015
    select * from code执行这语句时报上述错误
    @廖深根:构架损坏可能很难修复。尝试使用工具下载中的数据库修复工具,进行修复。
    然后还有个账套也是提示所选行业性质与科目不相符,经检查无误,但是进入账套还是提示不符
    @廖深根:根据您的描述,一致性错误导致的行业性质与科目不相符,您先修复成功,再来解决这个问题吧。
    修复数据库?
    @廖深根:请参考之前给您的回复。尝试使用工具下载中的数据库修复工具,进行修复。但是结构错误很难修复,工具只能修正一些简单错误。不保证工具一定管用。如果持续报错,建议您寻求专业的数据修复公司尝试修复。
    @服务社区窦佳:工具使用前,请注意备份账套。

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