Item Transaction Inquiry
Inquiry > Inventory > Item Transaction When items are Received and Invoiced on the Purchase Order, the receipts do not show up on this window. Please add this to show in a future release. Thanks!
attach a photo to an inventory item and more info like case pack, cases per skid, box dim & weight
would love to attach a picture to an inventory item, as well have many more info fields on the item like case pack, cases per skid, box weight and dimensions, pallet dimensions, sometimes we have multiple pallet configurations for the same item, pallets per container. also a place to put notes t...
Last Originating Invoice Cost
Do not auto update Item Vendor Cost based on last invoice posted. Allow the option to not have costs auto update.
IV Default Bins for Inventory Control transactions
We would like to suggest the ability to have a default bin assigned when entering transactions in the Item Transaction Entry window for IV
Inventory Reconcile with Manufacturing
When the reconcile is run and manufacturing has been installed, there are three reports which the user will be prompted to print. Let me talk through these reports as a way of explaining the processing. 1. When manufacturing is loaded, the allocated quantity for items is set to zero. 2. The fir...
Option to select cost layer when making negative inventory adjustment (FIFO)
We have many customer using a FIFO inventory valuation. This works well for purchasing and sales. However, at times accountants and inventory managers need to make an inventory adjustment. When making adjustments, it is often because we need to make corrections. Lots of times inventory adjustm...
Copy Stock Items from another company
There should be an option to copy Inventory Items from one company to another.
Stock Count Import/Export - Include Bin Number in Spreadsheet
When an item has multiple bins, that item appears on multiple lines in the Stock County Entry window (once for each bin). And, the item appears on multiple rows in Export spreadsheet but the Bin Numbers are missing from the spreadsheet. We need to see the bin number in the spreadsheet in order ...
Company Inventory Transfers
Allow for Inventory Transfers to be made across companies. We have inventory in one company. We have to mage a negative adjustment in this company and a positive adjustment in the other company to move this inventory. There is a lot of room for human error in this process, so it would be nice if ...
HITB Journal Entry Adjustments
Sometimes the balance that shows on the HITB is incorrect due to fluctuations of cost, cost adjustments, rounding, or data entry errors. Although the inventory quantity balance can typically be fixed, sometimes we're somewhat stuck with dollar balances on the HITB that aren't really accurate. It ...
Thank you for your suggestion. We will consider this functionality for a future release.
Best regards.
This posting is provided "AS IS" with no warranties, and confers no rights.
Administrator
Thank you for your suggestion. We will consider this functionality for a future release.
Best regards.
This posting is provided "AS IS" with no warranties, and confers no rights.