When using the Post Vendor Bill Variances page and...
# general
l
When using the Post Vendor Bill Variances page and the Match Bill to Receipt box is ticked in the PO line, it is possible to generate variance journals in cases when I have an Vendor Bill but no Item Receipt yet (yet to be delivered to us). What is the use case for this? Doesn't seem right to generate variance journals just because the IR is yet to be added.