Exploring inventory reconciliation
The inventory reconciliation is a key task that proves system integrity between the general ledger and inventory subledger. This task occurs on a monthly basis as a check point after month close to ensure that everything is properly reconciled with this contentment routine.
In Microsoft Dynamics AX 2012 R3, a set of reports are concerned with inventory and general ledger reconciliation. In the following section, we will explore the inventory value report.
Inventory value report setup
The inventory value report setup gives the option to have versions of the report based on the purpose of the report focus. The report can concentrate on the reconciliation between inventory and inventory account, work in progress ( ...
Get Microsoft Dynamics AX 2012 R3 Financial Management now with the O’Reilly learning platform.
O’Reilly members experience books, live events, courses curated by job role, and more from O’Reilly and nearly 200 top publishers.