Share via


Phys. Inventory Journal Window

Specifies how you want to maintain an up-to-date record of your inventory at different locations. The physical inventory feature can also assist you in taking a physical inventory by comparing the actual quantity on hand, as determined by the physical count, with the quantity on hand calculated by the program. If there are any differences, you must record and post them.

When you post the journal, the program creates a physical inventory ledger entry for every journal line and an item ledger entry for each journal line on which the actual quantity on hand, as determined by the physical count, is different from the quantity on hand calculated and recorded by the program. If you are using bins for the location, the posting also creates warehouse entries for the lines on which the actual quantity on hand is different from the program's calculated quantity on hand.

Note

Physical inventory for warehouse locations that use directed put-away and pick must first be registered in the Whse. Phys. Invt. Journal window and then later posted to the physical inventory journal.

Tip

For more information on how to navigate in the user interface, see Work with Microsoft Dynamics NAV. For assistance in finding specific pages, see Search.

See Also

Reference

Item Journal Line

Other Resources

Performing a physical inventory
How to: Assign Serial Numbers and Lot Numbers during Inbound Transactions
How to: Perform a Physical Inventory
How to: Handle Serial Numbers and Lot Numbers during Outbound Transactions
How to: Set Up Item Tracking Codes