Contact to accounting department how do to that and they advise as the following:
- Issue inv from V- scope again for the rats of qty, then to ship entry, which the invoices that released for internal ref only
- Revised invoices and send to customer with the qty actually exported.
- Revised invoices to shipping (Nippon Express) reported to customs for export entry amedment
2. QAN to PC to check the work and find ways to prevent it happening again.x.