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Discover new innovations across NetSuite with 2026 Release 2
■ NetSuite 2026.2 Release Notes
■ NetSuite SuiteApps Release Notes
■ NetSuite Sneak Peeks
■ Release Preview Guide
■ Release Preview Test Plan Template
■ NetSuite 2026.2 Release Notes
■ NetSuite SuiteApps Release Notes
■ NetSuite Sneak Peeks
■ Release Preview Guide
■ Release Preview Test Plan Template
Action Required: Review and submit pending reconciliation matches before the NetSuite upgrade to avoid rework. After 26.2, unsubmitted matches will be unmatched. For more details, see SuiteAnswers 1047397
BINS - Physical Acount Vs Bin Qty Mismatch
We enabled bins around June of 2023 and then during Inv Count we had a lot of issues sorting out counting with bins on and ended up turning them off. The problem I have now is that we have turned them back on and now I have a bit of a nightmare with Mismatched Qty between Bins and Physical Inventory. I have not seen a good way to fix this as going into each transaction is a editing hundreds of records in some cases. Do we have any options for actually wiping this out on the database side?
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