Could someone explain the sequence of events for WM Inventory Cycle Counting, clearing Inventory differences in WM, then to IM.
When I enter LI20 tcode to clear inventory differences for WM, then I need to clear the differences to IM with LI21. Should I use MB11 to post the inventory adjustments via 711 or 712 movements after clearing the differences to IM or before I clear differences to IM?
Thanks,