Choose your path Increase your proficiency with the Dynamics 365 applications that you already use and learn more about the apps that interest you. Up your game with a learning path tailored to today's Dynamics 365 masterminds and designed to prepare you for industry-recognized Microsoft certifications.
Visit Microsoft Learn
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 will explain the case with one case I have.
In below sales order, I have one line with warehouse AFC1050 in custinvoicetrans. But when I check the corresponding inventory transaction, warehouse is AFC1500.
I compared the inventdimId between these two entries and found that it is posted in inventory module different to that in custinvoicetrans.
Normally I dont need to reconcile these data. But I see difference when I take sales report by Qty from custinvoicetrans and inventtrans and ended up in this reconcilation process.
Your Screen Capture is very small and can't see properly . Have you assigned Default Warehouses for Items (For Purchasing /Sales or Inventory )?
The screenshot is indeed too small to read.
Probably, the item was picked from warehouse AFC1500 instead of AFC1050. Can you check the warehouse work or output order? (Are you using advanced warehousing, output orders or direct packing slip postings?)
Business Applications communities