This function is used to set up the personalization of the reorder plan screens.
At least one standard reorder plan transaction is delivered with the installation of the software. It can either be modified or deleted with this function, which can also be used to create new ones.
It is possible to set up several different transactions, according for instance to the shortage type originating the reorder requests.
Each transaction, identified by a code and a description, appears in a selection window when calling function Reorder plan.
Refer to documentation Implementation
The setup is carried out by entering information into the header and three tabs.
Presentation
The transaction header allows the user to create new transaction codes or to look for existing transactions to be modified or deleted.
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Fields
The following fields are present on this tab :
Reorder plan
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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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Presentation
In this tab, it is possible, among other actions, to:
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Fields
The following fields are present on this tab :
Reordering
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When checked, this box is used to process, on the reorder plan, the requests of the following type: "Replenishable locations". |
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When checked, this box is used to process, on the reorder plan, the requests of the following type: "Consumption areas". |
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When checked, this box is used to process, on the reorder plan, the requests of the following type: "Shortages on location". |
Lines
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Parameter used to define, for this transaction, if the put-away list field 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 transaction, whether the field 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 transaction, whether the field 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 transaction, if the BP field must be :
This parameter can be accessed only if the entry transaction involves replenishments of the following type: "Replenishable locations". When it involves other replenishment types, the field is "Hidden". |
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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 transaction, if the stock unit of measure field 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 transaction, if the field Quantity STK to be put-away or to be processed 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 transaction, whether the field must be:
This parameter can be accessed only if the entry transaction involves replenishments of the following type: "Consumption areas". |
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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 transaction, whether the field must be:
This parameter can be accessed only if the entry transaction involves replenishments of the following type: "Consumption areas". |
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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 transaction, whether field Quantity STK 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 transaction, whether the Lot field 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 transaction, whether the sub-lot field 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 transaction, whether the status field 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 transaction, whether the location field 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 transaction, whether the serial number start field 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 field is used to define, for this transaction, whether the serial number end field 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 transaction, whether the field 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 transaction, whether the field 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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Stock issue
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This setup is used to define, for this transaction, whether the stock issue must be automatically determined or must be chosen manually. |
Parameters
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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. The movement code is used to define specific stock issue rules for some transactions. For instance, a stock issue with status "Q" may be authorized for a dedicated transaction assigned to advanced users.
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This field is used to specify, for this transaction, the code of the accounting automatic journal used to generate, via the stock accounting interface, the accounting postings along with the stock movements created with this transaction. |
Miscellaneous
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This field gives the main sort criteria for the table of records to be processed. |
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By default, the following reports are associated with this function :
PRTSCR : Screen print
This can be changed using a different setup.