on 04-01-2011 4:40 PM
Hi all.
I'm having a big problem here to make continuous inventory using WM.
I'm folloinw these steps:
1- Li01n (or LX16)
2- li11n
3- li20
4- li21
During the count using li11n, if I find a batch that is registered in a different bin on the system, the inventory is not transfering this batch to the new bin, it is creating a new batch and keeping the old one.
Eg.:
If a batch is the bin "X" but phisycally is in the bin "Y", after the invetory count, the system will consider that I have two batches with the same code in both bins (of course, if I count only the bin "Y").
Why my system is not transfering the batches to its new (or correct) bin during a inventory?
As I understand:
- you do the inventory count for bin Y
- you don't do the inventory count for bin X
If my understending of your problem is proper, my question is: why do you expect that system will automatically do an adjustment posting for bin X???
How could the system find out on its own that the stock was posted to the wrong bin (bin X) previously??? Do you have a development for this? Or do you expect this functionality from the standard system?
Edited by: Csaba Szommer on Apr 3, 2011 10:38 PM
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