Why is there not a better way to fix the inventory when this happens? It is time consuming to fix this issue.
Yes! This creates an accounting nightmare. Would be extremely pleased if the PO was updated to allow for correction of erroneous check-ins. I was frankly shocked to see that inventory counts must be manually adjusted to compensate for mistakes AND there's no way to document the reason for the inventory adjustment. As inventory value is relevant to financial reporting, taxing, etc. it's insane that inventory can be manipulated so freely.