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    Does anyone have a month-end procedure that they follow in Sage 300? Reconciling accounts payable to the balance sheet, etc? I'm looking for something to have everyone follow to ensure that everything is entered correctly.
  • Mismatch between I/C quantity and Lot/Serial quantity of an item

    How to fix mismatch between I/C quantity and Lot/Serial quantity of an item if there is a variance on the I/C Serial/Lot Number Quantity on Hand Report? Below is an example in our sample data for this item, A1-405/0 at location 1. As you can see the…