I have run into another tracking lines problem.
The user entered a transfer into the Reclass journal for a qty of 200. In the Item Ledger Entry table there is a postive adj and a negative adj for 200. For the neg adj there is 200 item tracking lines with the correct serial numbers. (so far all is good) But on the positive adjustment there is only 1 tracking line for 1 serial number.
Why would the other 199 tracking lines not get posted? I can find no other differences between this transaction and others that posted fine.
Where should I begin to look?
They are on Navision 3.1
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