Regarding the REVIEW ITEM LINE/INVENTORY DETAIL QU...
# general
l
Regarding the REVIEW ITEM LINE/INVENTORY DETAIL QUANTITY MISMATCH task in the period close checklist, how is this even possible? What are the examples?
t
I mean it's as simple as a item receipt that was created w/o inventory detail.
Or an item receipt being deleted after a bin transfer.
l
Ahhh so it's not per transaction line but at the item level