After a night of cleaning the customer's inventory with all those inventory utilities, so the Sage files match each other (AND I ran the M-Bin Item reconciliation), a few days later the client ran M-Bin Item reconciliation for a lot number item in one warehouse and it changed all but one Sage files to match the multi bin number. I thought Sage "ruled" and MBin would change to match Sage.
In this case, customer's products are mostly lot, but they have some FIFO and Standard Cost. I've been asking Scanco for over a week for written documentation on how to run the utility and what the options/consequences are for each option. I've run the utility a number of times without issue, but something written would be nice. Does anyone have anything?
The first line of the utility asks for, to me, what bin to use for lot variances.
The second line has two choices--Apply to Lot and Apply to Stock. Is this line optional? When would you choose one vs the other? I'd assume you choose Lot for the lot items and Stock for the non lot numbers. We want M-Bin to change to match Sage, not the other way around.
Thanks,
Roberta

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Roberta Chase
Enterprise Software Consultant--Sage 100, Crystal Reports, Sage Intelligence, FAS, Starship
CompuData, Inc.
Philadelphia, PA 19154
215-969-1000, ext. 277
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