larkin_jack2
12th July 2002, 16:31
Does anyone have any thoughts why my inventory balance on my inquiry screen does not match my inventory balance when I run my print integrations by account.

I know some adjustments to this account were made directly, not through integrations, but when I tally them up I am still off quite a bit.

I tried to rebuild ledger accounts but this didn't work either.

Any suggestions of what reports I can run.

Thank-you!



Thanks again!

Without everyones' help on this board, I don't know what I would do. This board has been great.

lindan
18th July 2002, 17:56
Hi-

Are you taking non-finalized transactions into account?

Regards,

Linda

larkin_jack2
19th July 2002, 16:37
Thank you!

That is what I was overlooking.