Need clarification on sourcing option logic
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06-24-2025 04:01 AM
In the Sourcing Task, we have an option to source the asset either from Local Stock or through Transfer.
We wanted to understand where this logic is coming from — specifically, what OOB logic or configuration controls this behavior.
Additionally, we have a requirement to modify this logic as per our business needs. Could anyone help us identify the OOB implementation responsible?
Attached screenshot for reference.
Thanks in Advance!!
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