In WiseFish, there is at hand trade item journals, targeted towards posting a reversal of inbound (reception/production/positive adjmt.) and outbound (shipment/consumption/negative adjmt.) transactions:
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Which for example can be used, in reversal of a single pallet in a reception , into the WF Warehouse, where the type of the related trade items are “storage item”, in the ownership of an outside organization (external stock center).
For demonstration purposes, lets consider following scenario – Here is a screen-shoot of a storage invoicing worksheet, where the calculation of the storage fees takes place and we can see an entry with the pallet barcode “00056911114000000015” (pallet no. “00000001”):
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Now let’s say, if the user want to get rid of this pallet, which was perhaps might have been accidentally posted in the reception of the storage receipt agreement “SRA2300001” – See further details in the fact-box on the right-hand side of the screen (“Inbound Info”).
The user will open up the “Trade Item Credit Inbound Journal” from the “Trade Item Reversal Journals“ menu-point (as shown previously), where the “Select Storage Trade Items” action is available from the “Home“ action-ribbon:
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