Mike Casey
04/30/2025, 6:47 PMCeligo AI
04/30/2025, 6:47 PMAI generated answer (using internal Slack threads):****** Disclaimer: This response was generated by an artificial intelligence assistant based on previous conversations from multiple Slack channels, and may contain inaccuracies or mistakes. ****** Yes, it is possible to programmatically do the bin putaway worksheet in NetSuite. However, it's important to note that this process can be complex and may require custom scripting. One way to handle this is by using an Inventory Adjustment transaction. This transaction allows you to set inventory detail (bins). However, you cannot use a CSV import for bin transfers. If you have the NetSuite WMS, you can do an import to the Custom Record WMS Bin Putaway. Another approach is to use a custom script. For instance, when bins are turned on and used with RF-Smart, a custom script can be used to perform a bin putaway transaction. Please note that if bins are not business critical, you should carefully consider this approach as it can make processes more complex. Remember to test any changes in a sandbox environment before applying them to your live environment to avoid any potential issues.
Celigo AI
04/30/2025, 6:47 PMSlack thread 1: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.871372938
Slack thread 2: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.862765133
Slack thread 3: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.849282503
Celigo AI
04/30/2025, 6:47 PM