We have done upgrade from nav 3.6 to 5.0. We have brought forward opening balances for items, this has come to the adjustment bins as positive adjustment entries. Opening balances per item show a QOH quantity, but the warehousing entry show items in ADJ bins. All the adjustment entries have all gone into the adjustment bins.
Will the system allow to create picks from the ADJUSTMENT bins?
Will the system allow to ship the items from ADJUSTMENT bins?
Is that a right practice?
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