NetSuite WMS
Budget: $1,500 – $3,000 NZD
we are working to active advanced bin management to our NetSuite WMS (this feature is already enabled for our account) as we are missing some items and pickers are confused about where to go for picking items and so on. specially we really want to make our stocks level accurate as well.
The first step(goal) is , for example, if we have 100 of Item X in stock, we should be able to see in Netsuite where them are (Like 25 in location 1A1, 75 in 5B4). And then we could jump on proper stock taking and so on.
At the moment what comes to our picking ticket are the bin locations which have been set manually(or by CSV file) in inventory item detail (use bin is not checked/ticked). but what we need is to give us just one location which we can fill the order with ( preferred location) or if it was not enough to second location and so on.
so what we need is to see which items are in which bin locations and in what QTY. And after that we need to use bin transfer , stock adjustment and all warehouse related transaction functions from proper bins.
Notes to cover:
- we don't want this changes affect Sales procedure (like we don't want mandate to sale team to choose a bin location to create SO).
- as we have small amount of items and bin locations, at this stage we postpone to use Pick, Pack and ship function which would be our goal to bring handheld (scanner) in operation in future.
- how we could do it through CSV file and which transactions must be finalized before it happened (like in D365 all Adjustment, Counting, bin to bin transfers must be finalized before this transition)
Regards
Matt
The first step(goal) is , for example, if we have 100 of Item X in stock, we should be able to see in Netsuite where them are (Like 25 in location 1A1, 75 in 5B4). And then we could jump on proper stock taking and so on.
At the moment what comes to our picking ticket are the bin locations which have been set manually(or by CSV file) in inventory item detail (use bin is not checked/ticked). but what we need is to give us just one location which we can fill the order with ( preferred location) or if it was not enough to second location and so on.
so what we need is to see which items are in which bin locations and in what QTY. And after that we need to use bin transfer , stock adjustment and all warehouse related transaction functions from proper bins.
Notes to cover:
- we don't want this changes affect Sales procedure (like we don't want mandate to sale team to choose a bin location to create SO).
- as we have small amount of items and bin locations, at this stage we postpone to use Pick, Pack and ship function which would be our goal to bring handheld (scanner) in operation in future.
- how we could do it through CSV file and which transactions must be finalized before it happened (like in D365 all Adjustment, Counting, bin to bin transfers must be finalized before this transition)
Regards
Matt