Correct, in E9 the grid of the transactions are in the bottom left corner.
Once you count, you should immediately enter.
Because you might get a tag for qty 15, you count 5 at 3pm and at 3pm (-10) were in transactions. But if you enter the count at 4pm, you still have 5 Qty, but -3 were transacted again between that hour. So now you have 5 and -13, for a total of 18.
Or make sure that they look at the times of the transactions and write down the time of the CC>
Miguel A. Santillan
Compass Manufacturing Systems
From: vantage@yahoogroups.com [mailto:vantage@yahoogroups.com]
Sent: Wednesday, July 15, 2015 10:24 AM
To: vantage@yahoogroups.com
Subject: RE: [Vantage] Cycle counting E9
You can still do transactions.
At the time you start the count, there will be quantity frozen.
That is the number you have to reconcile against.
In the Count Entry screen, it will show you all the transactions after the count was started.
From:
vantage@yahoogroups.com [mailto:vantage@yahoogroups.com]
Sent: Wednesday, July 15, 2015 10:10 AM
To: vantage@yahoogroups.com
Subject: [Vantage] Cycle counting E9
All,
Doing some research here on cycle counting in Epicor, we’ve never used it but are considering it. If I understand correctly, while an item is currently in a cycle count the system will not issue or transact against the inventory of that item (correct me if my information is wrong). All of our inventory is set to backflush, so my question is if th e first assumption is true, will those items backflush from operations completed during the cycle count after the cycle count has been completed?
Thanks!
Rob