Checking the Accuracy of Your Adjustment Transactions Before You Post
You can print an Edit Report to ensure your entries are accurate before you post. This report will help you verify that your entries are correct and allow you the opportunity to correct or delete entries before you post (see
Correcting Adjustment Transaction Errors). If you use batch processing, you need to run the Edit Report for each batch. For more information on using batches, see
Working with Transaction Batches in Inventory.
Published date: 12/21/2020