Hi there peeps,
Our customer currently uses v3.60 HF26. They have a number of locations with no WMS.
We need to implement WMS, Zones and Bins etc, and have selected the Use Zone and Bins tick box. We have followed the recommended steps of checking and resolving negative invetory, and the process has created Whse Entries for the appropiate Adjustment Bin. At this stage there are NO Bin Content records.
After all of the setup etc, we need to create the Whse Entries for the relevant Bins. And this is where we are confused.
How do we get the results of the Adjustment Bin Whse Entries into a Whse journal (Phys Inventory or Item) so that the correct Bins can be entered?
The Whse Calc Inventory runs from the Bin Content, of which there are none.
Running an Inventory Phys Inv just creates Whse Entries for the Adjustment Bin.
I thought this would be straightforward!! Or do I need a slap?
Cheers.
Darren Beetlestone
0
Comments
Item Jounal -> Functions -> Calculate Whse. Adjustment
I don't know exactly the way you are doing to do item ajustments, but you have to be carefull with item cost.
You can lead to inccorect values.
Freelance Dynamics AX
Blog : http://axnmaia.wordpress.com/
However, when it is posted it creates Whse Entries for the Adjustment Bin.
I still need to use the Whse journals to identify the correct Bin, and this is where the problem lies.
I need to get the data for the Adjustment Bin into a Whse Journal so that I can enter the bin codes, whilst at the same time reducing the Adjustment Bin.