We implemented BIN locations a few months ago. QB automatically dumps everything into a bin called "Unassigned." We entered transfers to move everything from "Unassigned" to the correct BIN location names.
We are looking at the Cycle Count feature. When I create a new Cycle Count, I get two lines for every single item: one for "Unassigned" (with a zero qty) and one for the correct BIN location. The fact that the "Unassigned" BIN is inactive makes no difference.
If there is zero quantity in "Unassigned" I have no need for this. How can I stop this from happening?