mescalante
10/13/2025, 10:44 PMCeligo AI
10/13/2025, 10:44 PMAI generated answer (using internal Slack threads):Based on the conversations provided, it seems like you're dealing with a situation where you need to force a component from a specific bin in NetSuite. From the first conversation, it's clear that you can't use a CSV import for bin transfers. Instead, you should use an Inventory Adjustment transaction, which allows you to set inventory detail (bins). In the second conversation, it's mentioned that bin is an importable type under the
supply chain category. This could be useful if you need to create bins in bulk.
The third conversation suggests that if an item is serial and bin controlled but was not put into a bin when it was created, you might need to either unset the item as bin controlled or move it to a bin to export. If you have a large number of items at different locations that need to be written off and adjusted out of your system, you could try putting them into a Bin via a Bin Putaway transaction first.
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Disclaimer:
This response was generated by an artificial intelligence assistant based on previous conversations from multiple Slack channels, and may contain inaccuracies or mistakes.
******Celigo AI
10/13/2025, 10:44 PMSlack thread 1: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.784912109
Slack thread 2: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.782897949
Slack thread 3: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.781494141
Celigo AI
10/13/2025, 10:44 PM