If you notice a discrepancy in the total quantity of on-hand containers, it should be investigated and resolved at the individual container level. Common causes of discrepancies include:
Missing or incorrect logs
Miscounts (e.g., tablet count errors)
Containers marked as finished without adjusting the remaining balance
Losses during handling
To resolve the issue:
Review the container’s log history to identify and correct any discrepancies.
Ensure all logs are accurate and complete.
Make any necessary adjustments.
Important: This process should be completed before performing a physical count to ensure the system quantity aligns with physical inventory.
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