Hi Expert,
I enable the Direct put-pick, but our process flow is the warehouse people doing the warehouse adjustment and the supervisor will verify and post the adjustment from the item journal.
The supervisor may not immediate post the item journal and the calculate warehouse adjustment will accumulated all lump sum upon generate the calculate warehouse adjustment.
Therefore supervisor cannot investigate according warehouse registered before posting the item journal.
I would seek for advice any setup or alternate solution to call out the calculate warehouse adjustment according to each warehouse registered ?
Thank you.
Best Regards,
Wei Ching