on 04-14-2014 5:50 PM
It seems like the system is checking the entered count quantity during dynamic cyclce counting (DCC) against the available quantity LQUA-VERME and not against the total quantity LQUA-GESME.
This is leading to differences / re-count in case the inventory count (count quantity = total quantity) is executed before the transfer order is confirmed.
Could you please tell me what is the reason for this?
Hi,
If i am not wrong technically u can activate a physical inventory document only when LQUA-GESME and LQUA-VERME is equal, if you have a open transfer order and u have create a DCC system will activate the Physical inventory document only when the transfer order is complete so i don't see whether u check GESME or VERME in both the case there should not be any differance. Also as a business process i will always count what is physically available in storage bin (LQUA-GESME)
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Hi,
Please see example:
Storage bin ABC
Total stock 100 PCE
Available stock 80 PCE
Pick quantity 20 PCE
When you execute a Dynamic Cycle Counting count before the transfer order is confirmed it does make a difference if the system compares the count quantity to the total quantity LQUA-GESME or the available quantity LQUA-VERME.
If I activate quant-inventry the system considers the available stock. But for the storage bin-DCC the system acts differently and is comparing the total stock which does not make sense:
I wonder if there is a OSS note for this that fix the issue.
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