HQ Adjustment

May 31, 2007 2 Replies

What could cause an entire Inter-Store Transfer that has been received get a HQ Adjustment for every item reversing the received amount. It is as if an Inventory Task 190 ran to adjust the inventory.



Barry


What could cause an entire Inter-Store Transfer that has been received get a HQ Adjustment for every item reversing the received amount. It is as if an Inventory Task 190 ran to adjust the inventory.

Barry

It appears that our problem came from the 260 worksheet. If a transfer or sale or anything else put the store and HQ out of balance (like a transfer that has gone thru HQ but not yet recvd at the store) the Quantity would be adjusted. BEWARE of the 260 worksheet.

Join the Discussion

Have something to add? Share your thoughts — no account required.

Didn't find your answer?

Ask the community — no account required