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AS/400 BPCS Version 6.1 After posting physical inventory INV650, I noticed containerized inventory calculated an adjustment quantity for the 'O' transaction from Book Qty and the Physical Count. I could see that on the report. On other items not containerized in the same warehouse never brought in the Book Qty (current on hand) for the calculation so the 'O' transaction was the physical count. I had other warehouses bring in the Book Qty and some not. We use location *blank ' ' for many of our locations. Has anyone seen this? ?? A item master code ?? ?? A warehouse setup problem ?? ?? A location master problem ?? Thanks in advance. mike_fleming@norwalk-furniture.com
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