Daily Inventory Reconcile by Location

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Daily Inventory Reconcile by Location

(EODInventValSum.exe) Beginning and Ending Inventory Report. Shows Adjustments, Transfers, Receipts, Issues, and Physical Adjustments by Entity/Location, with actual ending valuation and variance between the actual and calculated ending on a daily basis by batch. May select by Entity, Batch Number and the Type of Report (Standard Reconcile or Reconcile with Inventory Valuation and Variance).