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Re: Quick question
- Subject: Re: Quick question
- From: "Chris Travers" <..hidden..>
- Date: Fri, 25 May 2007 09:41:55 -0700
Please file a feature request. Periodic inventory handling is done
very differently and is currently not supported. Nor is specific
identification of noncomparable parts. The latter is on our roadmap
(1.4?), while the former is not yet.
Even if we can't get to it in 1.4, I would like to see periodic
inventory handling (still FIFO) supported at some point.
Best Wishes,
Chris Travers
On 5/25/07, Ted Onley <..hidden..> wrote:
The process of entering initial inventory as an AP invoice brings to light a
question about a physical inventory process. Many of my clients do a periodic
physical count of their inventory, and some do cycle counts.
I noticed the inventory management bullet on the road map for LedgerSMB version
1.5. Will that include a cycle count/physical inventory process? Or is it too
early to tell?
Ted
Chris Travers wrote:
> Enter initial inventory as an AP invoice. Then enter any other
> information in as a GL transaction.
>
> Best Wishes,
> Chris Travers
>
> On 5/25/07, Khalil Foundy <..hidden..> wrote:
>> Sorry if this is documented somewhere. But I searched both the mailing lists archives and the SF forums and found no answer.
>>
>> I have just installed successfully ledgerSMB on a centos 5 box and I would like to know how to setup the initial trial balance (balance de vérification in french). I am migrating from a windows accounting app. to ledgerSMB. So basicaly I need to setup the same (or equivalent) acounts (I know how to do this) and setup their initial values.
>>
>> Thanks for your help.
>>
>> Khalil Foundy
>>
>>
>>
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