• If the log has a pending status:
    • Locate the log within the Reconcile tab and select Edit
    • Remove the balance listed next to the incorrectly used container
    • Add the amount used next to the correct container. You can open it from within this window if needed.
    • Then navigate to Manage Inventory and Manage Containers, select Edit, and change the container status from opened to unopened.
  • If the log is already archived with the incorrect container used:
    • You will need to ignore the log entry by clicking on it to open from within the log book and then selecting Ignore
    • The log entry will need to be re-created using the correct container used
    • If the incorrect container is not in use, update its status back to unopened



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