Adjusting or correcting NS/DO transactions

Use Product Adjust Non-stock/Direct Order Entry to make corrections to nonstock and Direct Order (DO) records and clear active sets of information. You can also use these instructions adjust nonstock products that are stored in inventory, including reconciling differences in quantities based on a physical count.

Note:  There is no reconciliation function to automatically reconcile count differences for nonstock products. You must make adjustments manually.
  1. Select Product > Entry > Adjust Non-stock/Direct Order.
  2. Specify search criteria and click Search.
  3. Select a product.
  4. To adjust the quantity, amount, or bin location, click Adjust.
  5. To write off amount differences, click Write Off.
  6. To remove quantities from a set and place them in your regular inventory, select the product and click Inventory. Optionally, select multiple products and click Mass Update.