Hello,
Can someone please tell me what report is the best report to reconcile our inventory balance per our accounting records compared to Amazon's record of our ending inventory? We were under the impression that the Inventory Ledger Report was the best report to use. If that is the correct report to use, should any adjustments be made to the "Ending Warehouse Balance" per the report such as adding in the "In Transit Between Warehouses" to get the full picture of what we have at Amazon? Also, what are the recommended report settings when downloading the Inventory Ledger to a CSV?
Thank you!
Jennifer
Hello @Seller_3JLg90C9jtWvu,
This is Josh from Amazon. Thank you for contacting our Forums!
I understand you're looking for guidance on inventory reconciliation reports. To get specific and detailed assistance with report settings and reconciliation processes, I recommend contacting Seller Support directly as they can provide you with the most up-to-date information tailored to your account.
I'd also like to invite other sellers from our community who have experience with inventory reconciliation to share their insights and best practices on this topic.
Kind regards,
Josh