Printing the Inventory Edit Report
The Adjustment Edit Report can help you verify the accuracy of your data. This report shows every transaction in the adjustment file, which allows you to make any necessary changes before you post.
Print the Adjustment Edit Report after every adjustment entry session, whether or not you use batches (see Working with Transaction Batches in Inventory). Check each adjustment for correct quantities, costs, dates, and more. Once you post adjustments, it is much more difficult to correct errors.
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Published date: 12/21/2020