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    <title>topic Re: inventory adjustments in Application Development and Automation Discussions</title>
    <link>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478007#M557992</link>
    <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi Anu,&lt;/P&gt;&lt;P&gt;Inventory Adjustment:&lt;/P&gt;&lt;P&gt;Between check-out and check-in, sales representative can make inventory adjustments. These adjustments are used to keep the on-truck stock inventory accurate. For example, if a case of beer is dropped and lost, it needs to be deducted from inventory so that the application does not treat it as available for sale.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Sales representatives is accountable for all adjustments. From both a business and a technical perspective, inventory adjustments are adjustments to checked-out and checked-in quantities. Inventory adjustments result in additional check-in/check-out items on separate adjustment check-out/check-in headers. Negative adjustments mean that a sales representative has checked in less than planned and positive adjustments mean that he has checked out more than planned.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;MI01, MI04, Mi07&lt;/P&gt;&lt;P&gt;In MI07 , you post the differances&lt;/P&gt;&lt;P&gt;in MI04 u put an actual qty means ajdust the qty&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Reward if useful!&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
    <pubDate>Fri, 06 Jul 2007 08:01:48 GMT</pubDate>
    <dc:creator>Former Member</dc:creator>
    <dc:date>2007-07-06T08:01:48Z</dc:date>
    <item>
      <title>inventory adjustments</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478005#M557990</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;hi,&lt;/P&gt;&lt;P&gt; What is inventory adjustments? &lt;/P&gt;&lt;P&gt;inventory adjustments-where the stock qty is increased..&lt;/P&gt;&lt;P&gt;how to do this.. which all field i need to fetch frm the table ISEG and IKPF.&lt;/P&gt;&lt;P&gt;And wat shuld be the processing for doing  inventory adjustments.&lt;/P&gt;&lt;P&gt;plz reply..&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Fri, 06 Jul 2007 07:48:16 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478005#M557990</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-06T07:48:16Z</dc:date>
    </item>
    <item>
      <title>Re: inventory adjustments</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478006#M557991</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi!&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Basically an inventory flows like this:&lt;/P&gt;&lt;P&gt;1. Set some materials (or all materials) to inventory relevant. This prevents these materials from posting other goods movements.&lt;/P&gt;&lt;P&gt;2. Print the inventory pages and the people will count the exact number of the materials.&lt;/P&gt;&lt;P&gt;3. Using the counted number, people will post the differences in SAP. This is the adjustment. It will generate material documents in SAP with movement type 701/702, or 711/712.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;It can be posted with transaction MI07. Other MI* transactions can be used for the whole inventory process.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Regards&lt;/P&gt;&lt;P&gt;Tamá&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Fri, 06 Jul 2007 07:57:14 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478006#M557991</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-06T07:57:14Z</dc:date>
    </item>
    <item>
      <title>Re: inventory adjustments</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478007#M557992</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi Anu,&lt;/P&gt;&lt;P&gt;Inventory Adjustment:&lt;/P&gt;&lt;P&gt;Between check-out and check-in, sales representative can make inventory adjustments. These adjustments are used to keep the on-truck stock inventory accurate. For example, if a case of beer is dropped and lost, it needs to be deducted from inventory so that the application does not treat it as available for sale.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Sales representatives is accountable for all adjustments. From both a business and a technical perspective, inventory adjustments are adjustments to checked-out and checked-in quantities. Inventory adjustments result in additional check-in/check-out items on separate adjustment check-out/check-in headers. Negative adjustments mean that a sales representative has checked in less than planned and positive adjustments mean that he has checked out more than planned.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;MI01, MI04, Mi07&lt;/P&gt;&lt;P&gt;In MI07 , you post the differances&lt;/P&gt;&lt;P&gt;in MI04 u put an actual qty means ajdust the qty&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Reward if useful!&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Fri, 06 Jul 2007 08:01:48 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/inventory-adjustments/m-p/2478007#M557992</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-06T08:01:48Z</dc:date>
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