Stock Balance (F41021) versus Cardex (F4111)
JDE Version 9.2.5.2
Currently, we are having issues with ensuring that these two files are aligned.
Our expectation is that the quantity on the F4111 should align to the quantity on F41021.
PS... We have ensured that the following is done:
Posted all transactions
Run R42990 / R42995 - Report Commitments
Run R41542 as of
Run R41544 to check the balance are aligned
Any feedback would be greatly appreciated
Kind Regards
Greg Edy