Our client has equipped their warehouse staff with scanners, and within a single purchase order, there are multiple lines to be received. To streamline the process and make it more efficient, they are looking to have multiple users receive the same order. They have divided the lines among them and instructed them to relocate the received items within the warehouse.Upon testing the Receive and Put Away function, we encountered an issue where it generates a new purchase receipt for additional quantities, instead of receiving the current ordered item.Is this scenario feasible?Thanks,
I have an approval map for PO order total between 5K ad 50K for PO lines having “X” project code.But if there are multiple lines having different project codes, how can I just pick up my lines with “X” project code and add up Ext Cost Amount , if the total of these lines over 5000 then it’ll send it to approver, but if this total is less than 5k no need to go to approver.
I imported inventories against a default warehouse an location. However, decided to remove it later on before entering any transactions. Bulk removed default warehouse and locations from ‘inventory card’ and ‘Item Warehouse Details’ screen.Now when creation purchase order and using ‘Add Items’ button, system still holds this information in inventory lookup as a siteID value.If adding lines manually using + button it’s all goof. Only when using below Add Items button. How can I remove warehouses from here?
When configuring Exchange Server Integration and select ‘TEST SERVER’, receive this message:“Application with Identifier was not found in the directory”Google gives me this article in Microsoft: https://learn.microsoft.com/en-us/troubleshoot/azure/active-directory/error-code-aadsts70001-app-not-found-in-directoryBut it does not make sense and resolve my issue.Anyone faced this error message?
Hi all,I found out for clients NOT using “Multiple Warehouse Locations” feature, the following WMS features not working:Put Away Scan and Receive Scan and TransferAny workaround for users to use scanner and move stock between warehouse and NOT locations? Thanks
Hi, We are trying to use Australian Diminishing Value in Fixed Assets, however system forces us to use ‘useful Life Year’.This method is only capturing the place-in-service date, the cost and the percentage per year.So it does not make sense to have years against each asset, as it’ll change the method. Can someone assist and let me know how you imported your assets using this method? Thanks,Foujan
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