Problem with Consignment Issue using Scheduling Agreement
I have a clarification regarding Consignment Issue using Scheduling Agreements. I have created a Consignment Scheduling Agreement and have posted several Consignment fill ups with reference to this Scheduling Agreement. We have allocated the stocks to be posted to our Special Stock partner. So, now all the stocks are residing with the Special Stock partner?
Can someone advise how to now transfer the stocks from the Special Stock Partner to Customer Consignment Stock & then to bill the customer from the Customer Consignment Stock?