Hi all
I have a production orden and in its consumption journal I select a batcht to use. I posted the journal but when I check the inventory transactions related to that journal line, I find two different batches to consume.
Do anybody have ever had a similar situation?
We use reservation option: Start.
Regards,
Andrea H
Why are you selecting it when you have reservation at start? My guess is the requirement was not satisfied by one line so the journal split the item into two with two different batches, you then only selected one to update.
Hi Adam
Thanks for your quick answer. I don’t know what the user did. The thing is that at the end in the journal there is only one line for articule ITEM1 that consumes 100 of batch LOT1, for example, but in inventory transactions there are two lines for ITEM1 one for LOT1 that consumes 75 and other for LOT2 that consumes 25. Both lines has the same InventTransID.
Thanks a lot for any help,
Andrea H.
Understanding what the user did is critical. Also the dimension controls on the batch and stock model group are ciritical.
Hi Adam
It is as you first guessed, we got two lines in the journal, we erased one line and made the hole consumption in one batch. The dimension group we are using has the site, warehouse and batch active. For batch the following options are selected: main inventory, physical inventory and all options in edit tab. On inventory model we select both reserve checks: date controlled and inverse date reservation.
Again, thanks a lot for your help,
Andrea H.
Pls Ans me if you have solved…
The thing is that at the end in the journal there is only one line for particule ITEM1 that consumes 100 ,
for example, but in inventory there are two lines for ITEM1 one for LOT1 =75 and
other for LOT2 =25.
how to pick both lot by 1 picking line or auto selection