Update ‘ADJUST QTY. BY’ in Inventory Adjustment using CSV import

We can update ADJUST QTY. BY in inventory adjustment record. For that we have to specify the Line Id for each of the Items. Also, we need to eliminate the line Id 0 from the list. Then we have to give Location( line level), item name , ADJUST QTY. BY, line Id and internal Id… Continue reading Update ‘ADJUST QTY. BY’ in Inventory Adjustment using CSV import

Inventory Adjustments

The inventory adjustment transaction changes the quantity and value of an inventory item without entering a purchase order. To perform inventory adjustment : Transactions > Inventory > Adjust Inventory. Enter the subsidiary, Ref. No., adjustment account. Note: The adjustment account will be an expense account. Now, under the Adjustments subtab, select item to be adjusted.… Continue reading Inventory Adjustments

Proposal for Inventory Count and Adjustment Enhancement

Proposal Summary Flowco needs to have enhancements on Inventory Count and Inventory Adjustments.  Requirement Flowco needs to have the following enhancements on Inventory Count and Inventory Adjustments. Currently, the Inventory Adjustment is not having reference to the corresponding Inventory Count. So they need to have a hyperlink on the Inventory Adjustment record back to the… Continue reading Proposal for Inventory Count and Adjustment Enhancement

PROPOSAL FOR STORING PRODUCTS QUANTITY FROM SUPERIOR TO NETSUITE

This proposal summarizes the establishment of connecting the Netsuite and Superior Communications using API. Requirement The Products quantity from the superior communication needs to be updated in the Netsuite  Quantity of Products shown at Superior will be able to be seen in Netsuite. Create a connection between NetSuite and Superior through API . Fetch products using… Continue reading PROPOSAL FOR STORING PRODUCTS QUANTITY FROM SUPERIOR TO NETSUITE