I need insights on a transaction processed in AX 2012.
A purchase order was initiated, but the inventory was mistakenly received into the wrong warehouse (warehouse 1instead of warehouse 2). To correct this, a quantity adjustment was used to deplete the inventory in warehouse 1, which affected the P&L account instead of using a transfer journal.
Additionally, the item was re-entered into the system, but the offset account used was the same as the receipt account.
Can you tell us what features you used for the quantity adjustment and for re-entering the quantity in the correct warehouse?
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