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add info for adjustment account in NS when pushing inventory adjustment #1202

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Shreyaakothari opened this issue Feb 14, 2025 · 0 comments
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@Shreyaakothari
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this information will vary from client to client on each implementation.

When pushing inventory adjustments, some NetSuite retailers have a "damage" type of location where inventory is shifted based on reason inventory is being variances.

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