Check out the latest Commerce updates!Learn about the key capabilities and features of Dynamics 365 Commerce and experience some of the new features.
Download overview guide | Watch Commerce video
2020 release wave 1 Discover the latest updates and new features to Dynamics 365 planned through September 2020
Release overview guides and videos Release Plan | Preview 2020 Release Wave 1 Timeline
Ace your Dynamics 365 deployment with packaged services delivered by expert consultants. | Explore service offerings
Connect with the ISV success team on the latest roadmap, developer tool for AppSource certification, and ISV community engagements | ISV self-service portal
The FastTrack program is designed to help you accelerate your Dynamics 365 deployment with confidence.
FastTrack Program | Finance TechTalks | Customer Engagement TechTalks | Upcoming TechTalks
I want to run "Physical Inventory" process to count item in the end of day into Store. I don't know how to run. Could you help?. Thank you.
Hi. What version are you refering to, and could you also explain what you mean about "physical inventory" ? In Dynamics 365 it is common to use counting journals in D365, or use the counting functions in the MPOS/CPOS and then post theese journals in Dynamics 365. What is important is that all transactions/statements are posted before any counting is performed. if you use the "post inventory" batch-job, any transactions that is not posted through a statement will be "reserved physically", and not "sold". This could lead to the effect that the counting can be wrong, as "reserved physically" transactions is still regarded as on-hand.
Let us know if this helps :-)
Business Applications communities