Inventory Control > Screen Guides > Physical Inventory > Post Inventory Reconciliation

I/C Post Inventory Reconciliation Screen

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Counting and Reconciling Inventory Quantities

Posting an Inventory Reconciliation

Printing the I/C Inventory Reconciliation Report

Overview

Use the I/C Post Inventory Reconciliation screen to post inventory counts and costs that you entered in the I/C Physical Inventory Quantities screen or the I/C Inventory Counts screen.

When you post an inventory reconciliation, adjustment transactions are created for any discrepancies between your physical inventory count and the quantities calculated by Inventory Control.

FIFO/LIFO Costed Items

For items that use the FIFO or LIFO costing method, the item's offset bucket is adjusted for inventory reconciliation transactions.