Assets Products Adjustments
Correct a bulk product's on-hand count at a site to a new absolute value, logging
the resulting delta as an adjust Transaction. Use when a physical audit reveals
a discrepancy between the system count and reality.
Bulk products only — serialized products don't have aggregate counts to adjust. For routine stock arrivals use Products Restocks; for movement between known locations use Transfers.
Adjust an existing inventory on hand count
**Required scope:**