As per Inventory Value Per period , there are 2 units and value against a part in last period against a site; However; as per Inventory Part stock , there is not stock in hand and no transaction after the period; Aggregate inventory Trans per period was run upto last period. What could be reason for difference/mismatch and any solution is appreciated.
Though in payment institute , cash box ticked , cash account is not coming in list of cash box.Any suggestions/advice in set up
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