Skip to main content
Business Central forum
Suggested answer

WE Bin Contents is correct but the ILE Qty on hand is not

editSubscribe (0) ShareShare
Posted on by 20
Past years where the Item ledger entry is the source of truth and the warehouse entry is not in sync.  The Qty on hand is correct but the Bin contents was not.  In NAV we all knew how to fix it since it was a common occurrence.  In BC we are seeing where the ILE - Quantity on Hand is NOT correct but the Warehouse Entry - Bin Contents IS correct.  Has anyone determined the process to get the ILE in sync with the WE when the Bin Contents is correct but the ILE is not in BC? 
  • Suggested answer
    Ben Baxter Profile Picture
    Ben Baxter 3,943 Super User on at
    WE Bin Contents is correct but the ILE Qty on hand is not
    Open your Item Journal and run the "Calc. Warehouse Adjustment" action.  This should bring in lines for anything sitting in an Adjustment Bin in the Warehouse Entries, which should make your ILE sync back to your Warehouse Entries.
    If you don't get any lines running this process, you have a bigger issue at hand.

Helpful resources

Quick Links

What Motivates a Super User?

We know many of you visit the Dynamics 365 Community and Power Platform…

Demystifying Copilot with Sundar…

Industry experts answer burning questions directly from our amazing Community…

Enabling Copilot Case and Conversation…

Agents can easily recap an ongoing chat, transcribe a voice conversation…


Andre Arnaud de Calavon Profile Picture

Andre Arnaud de Cal... 282,978 Super User

Martin Dráb Profile Picture

Martin Dráb 222,562 Super User

nmaenpaa Profile Picture

nmaenpaa 101,138

Product updates

Dynamics 365 release plans