Customer has inventory in another system, and populates GP POP. When receivings come in they also come in through the other system and are imported and posted. No actual inventory items reside in GP. They have many pricing differences from standard cost, but when they do the Enter/Match process to match the invoice to the receipt, it will not allow them to change the inventory account for the pricing difference. So, on each enter/match they have to manually edit the distributions with 2 'other' type lines to back the inventory account out and post it to the correct PPV account.
The vendors do not have a default PPV account set up, but I am not sure that would work anyway because they have multiple locations thay are tied to the GL so, they cannot default one GL account on a vendor since it may hit 9 different locations which would determine the first segment of the GL account string.
I looked at the site setup, but all of the importing only comes into MAIN so there would be no substitution there.
Customer said she would even prefer to have the GL line blank for PPV - if it cannot default by the location.
Does anyone have a clue as to how er can set this up to default a blank account for PPV or default a PPV by the location already in the rest of the distribution?