SJB Academy
آخر تحديث:
05 يوليو, 2026
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8 المشاهدات •Languages & localization
8 المشاهدات •POS Setup
7 المشاهدات •Purchase Return
7 المشاهدات •Common ZATCA rejection errors
5 المشاهدات •Inventory count & adjustments
4 المشاهدات •Apps & dashboards
5 المشاهدات •Dashboards
5 المشاهدات •Pricelists
4 المشاهدات •Bank Reconciliation
4 المشاهدات •Add a ZATCA-compliant customer
4 المشاهدات •Units of measure
4 المشاهدات •Journal Entries
4 المشاهدات •Lots/Serials & Expiry Tracking
4 المشاهدات •Returns & Credit Notes
4 المشاهدات •Add a vendor
4 المشاهدات •Backup & Import/Export
4 المشاهدات •Profit & Loss Report
4 المشاهدات •Purchase Order
4 المشاهدات •Simplified B2C invoice
4 المشاهدات •Inventory count & adjustments
A physical count compares the book balance to the actual count, and applying the differences corrects quantities and posts the accounting impact automatically.
Path: Inventory ← Operations ← Physical Inventory / Inventory Adjustments
- Open Inventory ← Operations ← Inventory Adjustments to see on-hand quantities per product and location.
- Use Filters to narrow to a product, category, or location before counting.
- Enter the physical result in the Counted Quantity column for each line.
- Odoo automatically computes the Difference between on-hand and counted.
- Select the lines and click Apply to confirm the adjustment and update stock.
- Odoo creates a stock move for the difference and, with automated valuation, posts the journal entry to the inventory-adjustment account.
- Review the Moves History to confirm the increase or shortage was recorded correctly.
- Add an Inventory Reason and document the count date for review and audit.
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