by Jeanne | Jul 11, 2017 | Fishbowl, Inventory Management, QuickBooks
[vc_row bg_color=””][vc_column width=”1/1″][vc_column_text] Like many things in Fishbowl (and life), when it comes to receiving and reconciling the receipt of inventory against the vendor bill, there’s a right way to do things and a wrong way...