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Best way to manage a stock take?
We've just done a 100% stock take and I need to get the data into NS. The only way that I can see of doing it right now is with an adjust inventory sheet, but this is going to take about 12 hours!
Does anyone have experience of the whole stock taking process as it applies to NS? I guess I could do an Adjust Inventory Worksheet, but I'm not sure what the implications are of this?
To make life more complicated, I use Bin Management and can't see any way round the issue of going into every item record to adjust bin records first.
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