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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).

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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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