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Discrepancy Between Cycle Count Amounts and the Cycle Count Costed Transactions (Doc ID 2773119.1)

Last updated on MAY 29, 2021

Applies to:

Oracle Fusion Inventory Management Cloud Service - Version 11.13.21.01.0 and later
Information in this document applies to any platform.

Goal

The cycle count sequence is created. Afterwards, the standard cost is updated. Before the sequence adjustment is approved, there is a difference between the Adjustment Values in the Costing Distributions and the Cycle Count UIs.


Customer expects that the Cycle Count tables reflect the Costing Distribution values.
 

Solution

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In this Document
Goal
Solution
References


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