on 09-30-2011 3:57 AM
Hi Gurus
I need some help understanding the system setting. Here is the current setting of one of our plant.
- The plant/storage location is WM managed.
- Batch determination is at WM level.
- Item Category ZBTC is setup in Delivery for batch line
- Item Category TAN for Delivery line
- ZBTC is determined after confirmation of transfer order
And here is the scenario example.
Delivery qty: 100 CSE
Transfer order lines: #1 50 CSE at bin A, and #2 50 CSE at bin B (both same batch)
When TO is confirmed, I see two cases
1. Delivery lines for batch split into two lines despite having same batch
10 Item 999 (TAN) 0 Qty
900001 Item 999 (ZBTC) 50 CSE Batch XXX
900002 Item 999 (ZBTC) 50 CSE Batch XXX
2. Delivery lines for batch remains as one line
10 Item 888 (TAN) 0 Qty
900001 Item 888 (ZBTC) 100 CSE Batch YYY
I do not understand what drives this split. It does not seem there is any logic built in user exit. We actually want to see case #1 all the time, but I cannot replicate it.
Appreciate your expertise!
Akio
Hi,
Please check if there are two quants of 50pc each, then may be two lines in delivery
regards,
Raman
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Hi Bala/Raman
I checked all the TO items and all the TO items are sourced from different bin/quant, yet the delivery item is not split. Destination bin is same which is nothing but Delivery Note number and destination quant is the same.
Again, how does it split into multiple lines in Delivery, I still haven't found out what triggers.
Thanks,
Akio
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