Editing Inventory Quantity Reconciliation

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* View Physical Counts will load the physical count data table to be used for reconcile.
 
* View Physical Counts will load the physical count data table to be used for reconcile.
 
* Update Physical Counts will update the data table.
 
* Update Physical Counts will update the data table.
* Export to Excel can be used for an excel report or to use for importing a physical count file as described below.  Steps to export to excel for a physical count file:
 
** Create new batch or select existing batch.  For new batch you can select for all locations (recommended in your case I think) or a specific location/warehouse.
 
** Select Export to Excel
 
** Use this file for manipulation to upload in the next step
 
 
* Physical Count Table Structure.  Note this is technical since it would most likely be populated by software developer from external system or uploaded from excel.
 
* Physical Count Table Structure.  Note this is technical since it would most likely be populated by software developer from external system or uploaded from excel.
 
** Table name:  InvenRecon
 
** Table name:  InvenRecon

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