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How to correcting item counts from Inventory Mismatch Report
I’m at a loss on how to proceed, so I’m reaching upward for insights on this. I’ve never seen anything like it before, and Jeethendra Mukkera (who has been doing the research) hasn’t either. Customer has been using NetSuite with multiple locations without bins being in-use or enabled prior to this add-on WMS implementation…
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How to Pay bills in other currency?
Hi Community, I encountered an issue while processing a vendor payment and would appreciate any insights. I created a vendor bill in Japanese yen, but the payment was made from a U.S. dollar account. When attempting to apply the payment to the vendor bill, the bill does not appear in the "Apply" tab. I suspect this may be…
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Reconcile A/P or A/R Aging Report Balance with Balance Sheet Report
Even after updating the preferences in the Home->Analytics-> Report by Period so that it shows either Never or All Reports, still my A/R aging balance doesn't match the Customers Balance in the Balance sheet. What is the reason and how can I fix it?
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Location Commited Qty different from Bins Commited Qty
We have an item which has a Qty on hand of 230 on location level. The Qty available on location level is also 230. Looking at the Qty committed on location level it does not show any committed. However if we look at the Bin Number we see something different. The Bin On Hand Qty is also showing 230 but the available Qty is…
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WATCH: Location and Bin On Hand Mismatch Solution
This is a How-To video in correcting the mismatch in the Location and Bin On Hand. Check our sample scenario and solution in this video!
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Phantom Inventory
Hi! We are having an issue with several lot numbers showing inventory that doesn’t actually exist. They show under the INVENTORY DETAIL tab but going back through the transactions the inventory is exhausted and I cannot adjust out either. Has anyone else experienced this?