Clear difference in Warehouse item count
When the counting process is completed and you identify a discrepancy in the actual quantity physically counted and the stock level in the computer system at the time of the count, analyze and investigate the reason and clear the difference based on the cycle count tolerance.
- Incorrect quantity / product taken for an order
- Incorrect stocking location of the product counted
- Put away in incorrect bin location
- Misrepresented Units of measure
- Data entry errors
- Combined damaged and good materials
- Incorrect material movement recorded
To clear differences in count of items in Warehouse:
- In the Home screen, tap Cycle Counting.
- Tap Warehouse Cycle Counting and Adjustments.
- Enter the search criterion like Warehouse Number and Inventory Record Number.
- Tap Search.
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Tap on the inventory record.
You can do Clear Difference only after you complete counting for all the line items.
Figure 1. Warehouse inventory record
- Select the line items.
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Tap Clear Difference.
A message appears confirming that Count adjustment is posted successfully.