View lost and found items

The counts of a stock check and the inventory adjustments (edit inventory quantity or remove inventory) are immediately processed in Objective. The differences in the stock checks are tracked in the tab Inventory Balance. Inventory adjustments are also tracked in the tab Inventory Balance (1), Unless the Configurator is set to automatically approve inventory adjustments (2).

  1. Choose Warehouse Management > Inventory Balance in the Navigation Pane.
  2. Choose the tab Inventory Balance in the Data Pane.
  3. Select in the drop-down menu Location Level one of the following options:
    ChoiceExplanation
    None The items are displayed without their location.
    Warehouse The items are displayed together with the warehouse where they are located.
    Aisle The items are displayed together with the aisle where they are located.
    Rack The items are displayed together with the rack where they are located.
    Shelf The items are displayed together with the shelf where they are located.
    Bin The items are displayed together with the bin where they are located.
    Location The items are displayed together with the lowest level of their location (aisle, rack, shelf, bin).
  4. Select from the drop-down list Item Level one of the following options:
    ChoiceExplanation
    Item The field item is displayed in the table.
    Lot Both item and lot are displayed in the table.
    Sublot Both item, lot and sublot are displayed in the table.
    full Item, lot, sublot and inventory attributes are displayed in the table.
  5. From the drop-down menu Category, select one of the following options:
    ChoiceExplanation
    Any Both the differences in stock caused by inventory adjustments and by counts are displayed.
    Correction The differences in stock caused by inventory adjustments are displayed.
    Consumption The consumption of Kanban locations is displayed.
    Count The differences in stock caused by counts (stock check orders) are displayed.