We use StrataJazz as a capital budgeting and processflow software. We are working on a query to send inventory information from Lawson to StrataJazz for the management reporting portion of implementing the product. I am stuck on how to tie the inventory information to the PO and AP information we have already built to feed over. It is highly likely though that I am not looking in the correct place to find this information.
Has anyone worked with StrataJazz on this process? Could you provide an example of how you wrote the inventory management reporting query and/or the GL, AP or PO feeds?