on 2024 Jan 05 11:37 AM
Hi all,
In LS24 i've got 914 storage and process order bin with negative qty expecting 825kg of certain material and batch delivered. But all the TR / TOs have been completed?
When you check details GR number shows qty 824kg and actual SSCC (storage unit) that has been picked for that TO was 767 kg and it shows in goods movement.
So i've got 3 different QTY -825kg on LS24 in interim bin, 824 in GR number and 767kg on storage unit delivered in that PO. No idea how they've managed to achieve that as it was right before Xmas and we're only picking it up now...
Process order ran in 2023 so it's all closed off. We're confident it was a typo as one TO before was for 824 kg, delivered and consumed and 767kg has been issued to correct PO as well.
It's just that i don't have anything in stock to clear the negative ? What sort of black magic is that hah? 😄
Thanks
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AnswerRequest clarification before answering.
Hi all,
I've managed to clear it by transferring (LT01) negative balance from interim bin to other bin allowing negative balance (in this case 999) and then LI21 difference.
Thanks
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