Hi NAV Expert
Please advice me how to this in NAV. We need warehouse reports to show variances between for theoretical data and actual count. We are now for the month of December but our company do monthly inventory count.
How I encode the data to NAV for the result of physical count last September 2012?
As I populate the data in the system, the quantity shows of an item is up to date. Meaning, is it the inventory balance as of December. I need only the inventory balance for September transactions. How to do using the NAV system?
I highly appreciate your guidance.