Use this function to manage the settings for the customization of the sub-contract material return entry screens.
At least one standard transaction for sub-contract material returns is delivered during the installation of the software. It can either be modified or deleted with this function, which can also be used to create new ones.
You can set up several transactions for sub-contract material returns. Each transaction, identified by a code and a text description, appears in a selection window when calling the Subcontract material returns function.
Refer to documentation Implementation
Presentation
The transaction header enables the user to create new transaction codes or to search existing transactions to modify or delete.
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Fields
The following fields are present on this tab :
Subcontract mat. return trans.
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Code used to identify the transaction set up. The setup of the entry transactions enables the user to fully set up the entry screens associated with a document (quote, invoice order, request for quotes etc.) or with a stock transaction type (receipt, issue etc.). For each document or stock transaction type, it is possible to define as many entry transactions as necessary, each one being identified by a code. Each transaction is used to define, both for fields located in the document header and fields entered in the lines, whether they must be:
Upon validation of this setup, dedicated entry screens are created, and then can be used by any user having been granted rights on the access code defined in this setup header.
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Transaction description. |
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This flag is used to activate or deactivate a transaction. |
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Access code that is used to restrict access to data by user or group of users. |
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This field is used to allow access to the transaction to a limited group of companies. |
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Presentation
In this tab, you can define multiple elements such as:
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Fields
The following fields are present on this tab :
Report
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Code of the standard document printed during an automatic printing at the end of entry. |
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Select this check box to automatically launch the printing of the document on entry completion.
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Stock
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This setup is used to define for this entry transaction a movement code used to specify rules for a specific type of movements. Il est par exemple, possible, pour une transaction dédiée et affectée à des utilisateurs avertis, d'autoriser l'entrée en stock de marchandises en statut A, alors que pour les autres utilisateurs, elle se fera en statut Q. Bien entendu, cette possibilité sera réservée aux catégories d'articles autorisant ce type de règles d'entrée et disposant d'un tel code mouvement (voir Catégories article). |
Miscellaneous
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The entered movement group corresponds to the default value that will be proposed upon return entry. This is statistical information that will be recorded in the stock journal at the moment of saving the return to stock. |
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Receipts
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Cet indicateur est activé pour ajouter, dans la transaction de saisie, un champ correspondant au choix d'un emplacement de type Quai, en en-tête de retour. La valeur renseignée dans ce champ d'en-tête sera utilisée comme valeur par défaut pour toutes les lignes de retour faisant l'objet d'un mouvement de stock. |
Display
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Indicateur permettant de préciser si cette information doit, pour cette transaction de saisie, être affichée ou non. |
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Il s'agit de la désignation article traduite dans la langue du tiers. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Il s'agit de la désignation saisie sur la livraison de matière pour sous-traitance. |
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Setup used to define, for this entry transaction, if the field must be present in:
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N° de la livraison à l'origine de la ligne de retour de matières livrées pour sous-traitance. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Quantité sur la ligne de livraison à l'origine de la ligne de retour. |
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Setup used to define, for this entry transaction, if the field must be present in:
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N° de retour fournisseur à l'origine de la ligne de retour de matières pour sous-traitance. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Presentation
In this tab, define the management method for particular sections of the return entry screen.
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Fields
The following fields are present on this tab :
Header entry
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The "Movement group" is statistical information that will be recorded in the stock journal at the moment of saving the receipt movements. This movement group comes from the miscellaneous table no.9. The value given in the transaction setup corresponds to a default value that can/cannot be viewed and/or modified according to the transaction setup. This setup is used to define whether the movement group code must be:
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Product lines grid
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Ce paramètre permet de définir le nombre de colonnes fixes lors du scrolling vers la droite, de l'écran des lignes de retour. |
Line entry
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Presentation
This tab in common to all receipt note transactions. It is dedicated to stock management-related information. It is used to set up the management method for the display and/or entry of this information:
It is also used to specify, for products managed in lot, the information to be entered in the Lot complementwindow.
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Fields
The following fields are present on this tab :
Entry
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This setup is used to define, for this entry transaction, whether the entry in packing units is authorized or not in the receipt movement.
The specific case of Customer returns: if the entry of PAC unit is allowed, then it is possible to modify the sales unit in the return by selecting a different sales unit among the following units:
When this is not the case, the sales unit will not be modifiable and the PAC/STK conversion factor and the STK quantity fields will not be displayed. The specific case of Loan returns: the entry in PAC is not possible in a loan return line. The sales unit is not modifiable for this type of return. |
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Setup used to define, for this entry transaction, if the product Supplier number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, whether the product Lot number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, whether the product Sub-lot number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the product Sub-lot number must be: |
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This setup is used to define, for this entry transaction, whether the entry status must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, if the location for the product receipt must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, whether the Order unitary price should be:
This information is used to intervene in the valuation of the stock receipt:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, whether the first product serial number for receipt to stock must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, if the last product serial number, when these numbers are consecutive, must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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The identifiers correspond to pieces of free information each used to identify a stock line. This parameter used to define, for this entry transaction, whether the analytical dimension must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the movement description that will be written in the stock journal must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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The presence or absence of this option is subject to the activity code WRH.
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Setup used to define, for this entry transaction, if the field must be present in:
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Detail
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This setup is used to define, for this entry transaction, whether the entry in packing units is authorized or not in the receipt movement. If the the entry of the PAC is possible, it is then possible to modify the PAC/STK conversion factor (on the condition that the product unit authorizes this modification). |
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Setup used to define, for this entry transaction, if the product Supplier number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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This parameter is used to define, for this entry transaction, whether the Major version numbermust be:
The management of the version numbers is only carried out at the Lot complement window level. |
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Setup used to define, for this entry transaction, if the field must be present in:
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This parameter is used to define, for this entry transaction, whether the Minor version number must be:
The management of the version numbers is only carried out at the Lot complement window level. |
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Setup used to define, for this entry transaction, if the field must be present in:
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The identifiers correspond to pieces of free information each used to identify a stock line. This parameter used to define, for this entry transaction, whether the analytical dimension must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to specify if, for this entry transaction, the printing of documents (in this case, stock labels) is authorized. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the number of documents to be printed can be entered or not. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the transaction price in the Stock input entry screen must be:
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Parameter used to define, for this entry transaction, if the last product serial number, when these numbers are consecutive, must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the movement description that will be written in the stock journal must be:
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Setup used to define if, for this entry transaction, the available to promise stock in the stock entry screen must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Lot
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Setup used to define, for this entry transaction, if it is mandatory for the lot expiry date to be entered. |
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Setup used to define, for this entry transaction, if it is mandatory for the lot title to be entered. |
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This setup is used to specify for each of the user free fields 1-2-3-4 of the Lot addition entry window whether these fields must be entered. These fields are used to associate additional information to a lot. |
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Presentation
This tab is specific to information linked to the analytical management on stock movements. It is used to set up the management method:
In this function, field Distribution line is not accessible
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Fields
The following fields are present on this tab :
Block number 1
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Parameter used to define if, for this transaction, the analytical dimensions fields of the document header must be:
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This setup is used to define, for this entry transaction, if the analytical distribution key at line and invoicing element level must be:
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Parameter used to define, for this entry transaction, if the field must be present in:
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Specify for this transaction if the analytical dimension fields related to stock movements must be:
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Entry
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Grid Dimension line
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You can enter an analytical dimension type code on each table line. |
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Parameter used to define, for this entry transaction, if the analytical dimension must be:
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Action icon
Click the Preload dimensions action to load the default dimensions defined for a selected group of sites or companies.
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