We have an inventory part. The inventory value is set at lets say 9.99. there is inventory received at this price. A few weeks later - we want to revalue the inventory at 8.99. The transactions post to the ledger. We aggregate inventory at the end of the month. We run inventory val we period - it shows that inventory item at 9.99. The total value of raw materials on the inventory val per period reconciles to the ledger balance, but the inventory is not 9.99 per item, should be 8.99.
we have had this ticket open with IFS since March 2024, its September 2024. Has anyone else experienced this? and/or had a way to fix it?