Exploring inventory reconciliation

The inventory reconciliation is a key task that proves system integrity between the general ledger and inventory subledger. This task occurs on a monthly basis as a check point after month close to ensure that everything is properly reconciled with this contentment routine.

In Microsoft Dynamics 365 for Finance and Operations, a set of reports are concerned with inventory and general ledger reconciliation. In the following section, we will explore the inventory value report.

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