I found that the inventory balance in GL is not equal to the balance in Item valualtion report. I also found that the items shown in Assembly Audit Report are not shown in the inventory GL tranction report, but shown in the GL. I checked the transaction dates, they are all in the some period both in inventory and GL. Besides, I posted all the batches retrieved. Another question is thatin inventory receipts, the transactions we recorded were shown up duplicate in GL inventory account, why? Thanks.