on 01-09-2012 4:20 PM
I have a new scenario that I am considering to run sales. Our non-profit organization is running 8.81 & is looking to use representatives to carry product. I want to track the reps inventory, yet they will make payments monthly against the sales that they do against the balance they are carrying.
What would be a best practice based on that information?
Hi John,
You can create the warehouses on the names of representatives and select the representative on line level to move the product.
Thanks
Malhaar
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