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Adjust inventory counts



This may seem like a basic question, but.....

As part of conducting quarterly physical inventory, actual onhand counts do not match entries in LedgerSMB.
What is the best way to adjust inventory?
If adjustments are performed programmatically (as opposed to manually), what stored procedure(s) should be executed?

Thanks.
Brian

Activus Technologies
Brian Wolf
Phone: 410.367.2958
Email: ..hidden..
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