Hey all,
I have a case in business central with transfer orders: Transfer Order T1, line 40000, has been created and posted with a quantity of 6 pieces.
Also, in Posted Transfer Shipment it shows:
Quantity = 6
Quantity (Base) = 6
Qty. per Unit of Measure = 1
In the Item Ledger Entries, these records were created:
Entry No. 1/Location Magazine 1
Quantity = 6
Entry No. 2/Location IN TRANSIT
Quantity = +7
Entry No. 3 /Location IN TRANSIT
Quantity = 6
Entry No. 4/Location Magazine 2
Quantity = +6
As a result, in entry no. 2, the Remaining Quantity is 1, leaving the IN TRANSIT warehouse open with 1 piece.
Value Entries have also been checked:
For ILE no.1/ Magazine 1:
Item Ledger Entry Quantity = -6
Valued Quantity = -6
Invoiced Quantity = -6
For ILE no.2/ IN TRANSIT:
Item Ledger Entry Quantity = 7
Valued Quantity = 7
Invoiced Quantity = 7
In the Item Application Entry for ILE no.2 it shows:
Inbound Item Entry No. = no.2,
Outbound Item Entry No. = no.1,
Quantity = 7.
From the verification, it turns out that the document and the Posted Transfer Shipment have a quantity of 6, while during inventory posting an entry in IN TRANSIT was created with a quantity of 7. The difference does not seem to have been caused by the Transfer Receipt or by Adjust Cost, since the receipt was posted correctly with 6 pieces and the initial Value Entry for transit was created already during posting with quantity 7. Verification from development is requested to identify the cause of the creation of the inbound Item Ledger Entry with quantity 7, while the Transfer Shipment Line and outbound Item Ledger Entry are with quantity 6.
Thank you in advance

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