Experts,
I have had a question thrown at me recently by an end user and it has made me curious. If there is some stock lying in a storage bin for a few days(let us say "3"), the TiL(Duration) field in LX03 shows 3 as the number of days which is fine. But now if I add some more stock for the same article to the bin today, it will simply get added to the original quantity and not create a separate entry for today's date. So basically, the TiL field keeps showing as "3" and the stock that was added today also shows as stock that has been lying for 3 days which is not the case. Is there a justification for this?Can some one throw some light on this? How can one break up the stock based on the date it was added to the bin and is there a way to create a separate entry?