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Contents
List of Figures
Title and Copyright Information
Preface
Audience
Documentation Accessibility
JD Edwards EnterpriseOne Application Fundamentals
Related Documents
Conventions
1
Introduction to JD Edwards EnterpriseOne Inventory Management
1.1
JD Edwards EnterpriseOne Inventory Management Features
1.1.1
Item Numbering and Description
1.1.2
Stocking Features
1.1.3
Item Cross-Referencing
1.1.4
Item Locations
1.1.5
Lots
1.1.6
Physical Warehouses
1.1.7
Logical Warehouses
1.1.8
Item Counts
1.1.9
Item Costs
1.1.10
Kits and Components
1.1.11
Supplemental Data
1.1.12
Container Management
1.1.13
Item Record Reservations
1.1.14
Inventory Interoperability
1.2
JD Edwards EnterpriseOne Inventory Management Business Processes
1.3
JD Edwards EnterpriseOne Inventory Management Integrations
1.3.1
Electronic Data Interchange
1.4
JD Edwards EnterpriseOne Inventory Management Implementation
1.4.1
Global Implementation Steps
1.5
Business Interface Integration Objects
2
Setting Up the Inventory Management System
2.1
Understanding System Setup
2.2
Setting Up Constants
2.2.1
Understanding Constants
2.2.1.1
Branch/Plant ALL
2.2.1.2
Accelerated Pricing Resolution Engine
2.2.2
Prerequisites
2.2.3
Forms Used to Set Up Constants
2.2.4
Defining Branch/Plant Constants
2.2.5
Defining Batch Control Constants
2.2.6
Setting Up ABC Analysis Codes
2.2.7
Defining Item Availability
2.2.8
Defining System Constants
2.2.9
Defining the Location Format
2.2.10
Defining Segments for Locations
2.2.10.1
Location Segment Specification
2.3
Setting Up Warehouse Locations
2.3.1
Understanding Warehouse Locations Setup
2.3.2
Understanding Multiple Location Entry
2.3.2.1
Elements
2.3.2.2
Steps
2.3.3
Prerequisites
2.3.4
Forms Used to Set Up Warehouse Locations
2.3.5
Setting Processing Options for Location Master (P4100)
2.3.5.1
Display
2.3.6
Entering Individual Locations
2.3.7
Entering Multiple Locations
2.4
Setting Up Default Location Information
2.4.1
Understanding Default Location Information Setup
2.4.2
Prerequisites
2.4.3
Forms Used to Set Up Default Location Information
2.4.4
Defining the Default Location and Approval Route Code
2.4.5
Assigning Default Print Queues
2.5
Setting Up Standard Units of Measure
2.5.1
Understanding Standard Units of Measure
2.5.1.1
Example: Conversion Factors for Units of Measure
2.5.2
Prerequisite
2.5.3
Forms Used to Set Up Standard Units of Measure
2.5.4
Defining Standard Units of Measure
2.6
Setting Up Item Cross-References
2.6.1
Understanding Item Cross-Reference Setup
2.6.1.1
Cross-References for Promotional Items
2.6.1.2
Cross-References for Related Items
2.6.2
Prerequisites
2.6.3
Forms Used to Set Up Item Cross-References
2.6.4
Setting Processing Options for Item Cross Reference (P4104)
2.6.4.1
Processing
2.6.5
Setting Up Cross-References for Promotional Items
2.6.6
Setting Up Price Cross-References for Related Items
2.7
Setting Up Messages
2.7.1
Understanding Message Setup
2.7.2
Forms Used to Set Up Messages
2.7.3
Setting Up Messages
2.7.4
Printing Messages on Program Reports
2.7.5
Defining Document Type Exceptions
2.8
Setting Up Document Type Information
2.8.1
Understanding Document Type Information
2.8.2
Forms Used to Set Up Document Type Information
2.8.3
Setting Up Document Types
2.8.3.1
Inventory
2.8.3.2
Sales
2.8.3.3
Procurement
2.8.3.4
S/WM
2.8.3.5
Work Order Definition
2.8.3.6
Shipping
2.9
Setting Up AAIs in Distribution Systems
2.9.1
Understanding AAIs in Distribution Systems
2.9.2
Understanding AAIs in the JD Edwards EnterpriseOne Inventory Management System
2.9.3
Prerequisites
2.9.4
Forms Used to Set Up AAIs in Distribution Systems
2.9.5
Setting Processing Options for Distribution AAIs (P40950)
2.9.5.1
Defaults
2.9.6
Set Up AAIs
3
Entering Item Information
3.1
Understanding Item Information
3.1.1
Prerequisites
3.2
Entering Item Master Information
3.2.1
Understanding Item Master Information
3.2.1.1
Item Units of Measure Information
3.2.1.2
Dual Unit of Measure
3.2.1.3
Classification Codes
3.2.1.4
Attachments
3.2.2
Understanding Manufacturing Information
3.2.2.1
Item Grade and Potency Information
3.2.2.2
Blend Management
3.2.2.3
Demand Flow®
3.2.3
Prerequisites
3.2.4
Forms Used to Enter Item Master Information
3.2.5
Setting Processing Options for Item Master (P4101)
3.2.5.1
Defaults
3.2.5.2
Process
3.2.5.3
Global Update
3.2.5.4
Versions
3.2.5.5
Interop
3.2.5.6
Style
3.2.6
Setting Up Item Information
3.2.6.1
Basic Item Data
3.2.6.2
Additional Info
3.2.6.3
Lot Processing
3.2.7
Entering Alternate Descriptions
3.2.8
Attaching Messages to Items
3.2.9
Entering Notes for Items
3.2.10
Adding Classification Codes to Items
3.2.10.1
Sales Classification Codes
3.2.10.2
Purchasing Classification Codes
3.2.10.3
Inventory and Transportation Classification Codes
3.2.10.4
Warehouse Classification Codes
3.2.11
Entering Default Units of Measure for Items
3.2.11.1
Weights and Measures
3.2.12
Defining Item Unit of Measure Conversions
3.2.13
Specifying a Dual Unit of Measure for an Item
3.2.13.1
Weights and Measures
3.2.13.2
Additional Info.
3.2.14
Setting Up Search Sequence Using Price Units of Measure
3.2.15
Setting Up Manufacturing Information
3.2.15.1
Manufacturing Data
3.2.15.2
Grade and Potency
3.2.15.3
Service/Warranty
3.2.15.4
Supply Chain Planning
3.2.15.5
Blend Management
3.2.15.6
Demand Flow®
3.3
Entering Branch/Plant Information
3.3.1
Understanding Branch/Plant Information
3.3.1.1
Item Locations
3.3.1.2
Country of Origin
3.3.1.3
Blend Management
3.3.2
Prerequisites
3.3.3
Forms Used to Enter Branch/Plant Information
3.3.4
Setting Processing Options for Item Branch Plant (P41026)
3.3.4.1
Process
3.3.4.2
Versions
3.3.4.3
Interop
3.3.5
Assigning Items to Branch/Plants
3.3.6
Assigning a Primary Location to an Item
3.3.7
Assigning a Secondary Location to an Item
3.3.8
Entering Classification Codes for Branch/Plants
3.3.9
Entering Tax Information
3.3.10
Locating Item Sources
3.3.11
Entering Item Reorder Quantities
3.3.12
Entering Branch/Plant Manufacturing Information
3.3.13
Setting Processing Options for Item Branch Duplication (P41015)
3.3.13.1
Defaults 1
3.3.13.2
Default 2
3.3.13.3
Process
3.3.14
Duplicating Individual Items for Multiple Branch/plants
3.3.15
Reviewing the Item/Branch Dup-Batch Report
3.4
Entering Segmented Items
3.4.1
Understanding Segmented Items
3.4.2
Forms Used to Enter a Segmented Item
3.4.3
Creating a Template for Segmented Items
3.4.4
Entering Segmented Items
3.5
Working with Matrix and Parent Items
3.5.1
Understanding Matrix and Parent Items
3.5.2
Understanding Matrix Order Entry
3.5.3
Prerequisites
3.5.4
Forms Used to Work with Matrix and Parent Items
3.5.5
Setting Processing Options for Matrix Items (P4101E)
3.5.5.1
Versions
3.5.6
Reviewing Matrix Items
3.5.7
Setting Processing Options for Matrix Order Entry (P41902)
3.5.7.1
Display
3.5.8
Ordering Matrix Items
3.6
Entering Item Cost Information
3.6.1
Understanding Item Cost Information
3.6.1.1
Item Cost Update
3.6.2
Forms Used to Enter Item Cost Information
3.6.3
Setting Processing Options for Cost Revisions (P4105)
3.6.3.1
Process
3.6.3.2
Interop
3.6.3.3
Flex Acct
3.6.4
Assigning a Cost Level to an Item
3.6.5
Assigning a Cost Method and Cost to an Item
3.6.6
Entering Manufacturing Setup Cost Information
3.7
Entering Sales Price Information
3.7.1
Understanding Sales Price Information
3.7.2
Forms Used to Enter Sales Price Information
3.7.3
Assigning Price Levels and Price List Groups to an Item
3.7.3.1
Additional Info
3.7.4
Entering Item Prices
4
Working With Inventory Transactions
4.1
Understanding Inventory Transactions
4.2
Prerequisites
4.3
Issuing Inventory
4.3.1
Understanding Inventory Issues
4.3.2
Forms Used to Issue Inventory
4.3.3
Setting Processing Options for Inventory Issues (P4112)
4.3.3.1
Defaults
4.3.3.2
Versions
4.3.3.3
Process
4.3.3.4
Interop
4.3.3.5
Agreement
4.3.4
Issuing Inventory
4.4
Adjusting Inventory
4.4.1
Understanding Inventory Adjustments
4.4.2
Forms Used to Adjust Inventory
4.4.3
Setting Processing Options for Inventory Adjustments (P4114)
4.4.3.1
Defaults
4.4.3.2
Versions
4.4.3.3
Process
4.4.3.4
Interop
4.4.3.5
Agreement
4.4.3.6
Warehouse
4.4.4
Adjusting Inventory
4.5
Transferring Inventory
4.5.1
Understanding Inventory Transfers
4.5.1.1
Example: Transfer Transaction
4.5.2
Forms Used to Transfer Inventory
4.5.3
Setting Processing Options for Inventory Transfers (P4113)
4.5.3.1
Defaults
4.5.3.2
Versions
4.5.3.3
Process
4.5.3.4
Interop
4.5.3.5
Agreement
4.5.3.6
Warehouse
4.5.4
Transferring Inventory
5
Reviewing Item and Quantity Information
5.1
Understanding Item and Quantity Information
5.1.1
Types of Quantities
5.1.2
Commitment Methods
5.1.3
System Calculations for Supply-and-Demand Quantities
5.1.4
Item Balance Reconciliation with the GL
5.2
Searching for Item Information
5.2.1
Understanding How to Locate Item Information
5.2.2
Mobile Enterprise Applications for Product Price and Availability (Release 9.1 Update)
5.2.3
Prerequisites
5.2.4
Forms Used to Locate Item Information
5.2.5
Building Item Word Search Information
5.2.6
Setting Processing Options for Item Word Search Build (R41829)
5.2.6.1
Build Options
5.2.7
Locating Items with Word Search
5.2.8
Locating and Returning Item Information
5.2.9
Defining Search Criteria
5.3
Locating Quantity Information
5.3.1
Mobile Enterprise Applications for Reviewing Item Availability (Release 9.1 Update)
5.3.2
Understanding Quantity Information
5.3.2.1
Summary Quantity Information
5.3.2.2
Detailed Quantity Information
5.3.2.3
Quality Mode
5.3.3
Prerequisites
5.3.4
Forms Used to Locate Quantity Information
5.3.5
Setting Processing Options for Item Availability (P41202)
5.3.5.1
Versions
5.3.5.2
Display
5.3.5.3
Lot Options
5.3.6
Locating Summary Quantity Information
5.3.6.1
Item Availability
5.3.6.2
Additional Selections 1
5.3.7
Reviewing Detailed Quantity Information
5.3.8
Setting Processing Options for Segmented Item Availability (P41206)
5.3.8.1
Defaults
5.3.8.2
Versions
5.3.9
Reviewing Segmented Item Availability
5.3.10
Setting Processing Options for Location Segment Inquiry (P4100142)
5.3.10.1
Mode
5.3.11
Reviewing Quantities in Locations with Segments
5.3.12
Setting Processing Options for Lot Master Availability (P41280)
5.3.12.1
Versions
5.3.12.2
Display
5.3.13
Locating Quantity Information by Lot
5.3.14
Setting Processing Options for Item Ledger Inquiry (CARDEX) (P4111)
5.3.14.1
Default
5.3.14.2
Versions
5.3.14.3
Display
5.3.15
Locating On-Hand Quantity Information
5.3.16
Reviewing Current Inventory Levels Online
5.4
Reviewing Supply-and-Demand Information
5.4.1
Understanding Supply-and-Demand Information
5.4.2
Form Used to Review Supply-and-Demand Information
5.4.3
Setting Processing Options for Supply and Demand Inquiry (P4021)
5.4.3.1
Process
5.4.3.2
Display
5.4.3.3
Versions
5.4.4
Reviewing Supply-and-Demand Information
5.5
Reviewing Performance Information
5.5.1
Form Used to Review Performance Information
5.5.2
Setting Processing Options for Buyer Information (P4115)
5.5.2.1
Versions
5.5.3
Reviewing Performance Information
5.6
Working with Transaction Records
5.6.1
Understanding Transaction Records
5.6.2
Forms Used to Work with Transaction Records
5.6.3
Running the Item Ledger As Of Generation Program
5.6.4
Setting Processing Options for Item Ledger As Of Record Generation (R41542)
5.6.4.1
GENERATION
5.6.5
Updating Balance Forward Records for Inactivity in the Fiscal Year
5.6.6
Setting Processing Options for As Of Updating (R41548)
5.6.6.1
Defaults
5.6.7
Entering Individual Transactions
5.6.8
Reviewing Multiple Transactions and Balances
5.6.9
Reviewing the Item Ledger Detail Print Report
5.6.10
Setting Processing Options for Item Ledger Detail Print (R41540)
5.6.10.1
REPORT DISPLAY
5.6.11
Reviewing the Item Ledger by GL Class Code Report
5.6.12
Setting Processing Options for Item Ledger By GL Class Code (R41541)
5.6.12.1
Report Option
5.6.13
Reviewing the General Ledger by Object Account Report
5.6.14
Reviewing the Trial Balance by Object Account Report
5.7
Reconciling Inventory to General Ledger (G/L) (Release 9.1 Update)
5.7.1
Understanding Inventory to General Ledger Reconciliation
5.7.2
Reviewing the Automatic Inventory to GL Reconciliation Report
5.7.3
Setting Processing Options for Automatic Inventory to GL Reconciliation (R41500)
5.7.3.1
Default
5.7.3.2
Process
5.7.3.3
WO Document Type
5.7.3.4
Interbranch
5.7.3.5
Print
5.7.4
Form Used To Reconcile Inventory and General Ledger Records
5.7.5
Reconciling Inventory to General Ledger
5.7.6
Setting Processing Options for Manual Inventory to G/L Reconciliation Program (P41500)
5.7.6.1
Defaults
5.7.6.2
WO Document Type
5.7.6.3
Interbranch
6
Managing Physical Inventories
6.1
Understanding Physical Inventory Management
6.2
Processing Cycle Counts
6.2.1
Understanding Cycle Counts
6.2.2
Prerequisites
6.2.3
Forms Used to Process Cycle Counts
6.2.4
Running the Select Items for Count Program
6.2.5
Setting Processing Options for Select Items for Count (R41411)
6.2.5.1
Print
6.2.6
Reviewing Cycle Count Status
6.2.7
Printing Cycle Count Sheets
6.2.8
Setting Processing Options for Print Cycle Count Sheets (R41410A)
6.2.8.1
Print
6.2.9
Canceling Cycle Counts
6.2.10
Entering Cycle Count Results
6.2.11
Entering Counted Quantity on an Existing License Plate
6.2.12
Reviewing Cycle Count Variances
6.2.13
Revising Cycle Count Quantities
6.2.14
Printing a Variance Report
6.2.15
Setting Processing Options for the Print Variance Detail (R41403)
6.2.15.1
Processing
6.2.16
Approving Cycle Counts
6.2.17
Running the Cycle Count Update Program
6.2.18
Setting Processing Options for Cycle Count Update (R41413)
6.2.18.1
Defaults
6.2.18.2
Process
6.2.18.3
Interop
6.3
Processing Tag Counts
6.3.1
Understanding Tag Counts
6.3.1.1
Tag Distribution Information
6.3.2
Forms Used to Process Tag Counts
6.3.3
Running the Select Items for Count Program
6.3.4
Printing Inventory Tags
6.3.5
Setting Processing Options for Print Inventory Tags (R41607)
6.3.5.1
Defaults
6.3.6
Recording Tag Distribution and Receipt Information
6.3.7
Setting Processing Options for Tag Status Review (P41604)
6.3.7.1
Defaults
6.3.7.2
Warehouse
6.3.8
Entering Tag Count Results
6.3.9
Reviewing Tag Count Variances
6.3.10
Running Tag Count Updates
6.3.10.1
Data Sequence
6.3.11
Setting Processing Options for Tag Inventory Update (R41610)
6.3.11.1
Process
6.3.11.2
Interop
7
Updating Costs
7.1
Updating Item Costs
7.1.1
Understanding Item Cost Updates
7.1.2
Prerequisite
7.1.3
Forms Used to Update Item Costs
7.1.4
Setting Processing Options for Speed Cost Maintenance (P41051)
7.1.4.1
Defaults
7.1.4.2
Process
7.1.5
Updating Costs for an Item Across Multiple Branch/Plants
7.1.6
Updating Costs for Multiple Items Across Multiple Branch/Plants
7.1.7
Setting Processing Options for Batch Cost Maintenance (R41802)
7.1.7.1
Process
7.1.7.2
Defaults
7.1.7.3
Print
7.1.7.4
Edits
7.1.8
Updating Average Costs for Items
7.1.9
Updating Current Item Costs with Future Costs
7.1.10
Setting Processing Options for Future Cost Update (R41052)
7.1.10.1
PROCESS CNTRL
7.1.10.2
Interop
7.2
Working with Detail Costing in Distribution
7.2.1
Understanding Detail Costing
7.2.2
Forms Used to Work with Detail Costing in Distribution
7.2.3
Setting Up Detail Costing in Distribution
7.2.4
Creating Simulated Costs for Distribution
7.2.5
Setting Processing Options for Simulated Cost Update (R30840)
7.2.5.1
Process
7.2.5.2
Defaults
7.2.5.3
Print
7.2.6
Copying Manufacturing Cost Components
7.2.7
Setting Processing Options for Copy Cost Components (R41891)
7.2.7.1
From
7.2.7.2
Landed Costs
7.2.7.3
Default
8
Working With Kits
8.1
Entering Kit Information
8.1.1
Understanding Kit Information
8.1.1.1
Kit Example
8.1.1.2
Kit Definition
8.1.2
Forms Used to Enter Kit Information
8.1.3
Entering Item Master Records for Kits
8.2
Entering a Bill of Material
8.2.1
Understanding Bills of Material
8.2.2
Prerequisite
8.2.3
Forms Used to Enter a Bill of Material
8.2.4
Setting Processing Options for Bill of Material Revisions (P3002)
8.2.4.1
Defaults
8.2.4.2
Display
8.2.4.3
Versions
8.2.4.4
Edit
8.2.4.5
Interop
8.2.5
Entering Bill of Material Information
9
Using Lot Processing
9.1
Understanding Lot Processing
9.2
Entering Lot Information
9.2.1
Understanding Lot Information
9.2.1.1
Lot Information for Items
9.2.1.2
Information for New Lots
9.2.2
Understanding Mass Updates for Lot Expiration Dates
9.2.3
Forms Used to Enter Lot Information
9.2.4
Setting Processing Options for Lot Master (P4108)
9.2.4.1
Process
9.2.4.2
Defaults
9.2.4.3
Lot Options
9.2.5
Entering Lot Information for Items
9.2.5.1
Lot Processing
9.2.6
Creating Lots
9.2.7
Entering Availability Information
9.3
Working with Lot Availability
9.3.1
Forms Used to Work with Lot Availability
9.3.2
Setting Processing Options for Lot Master Availability (P41280)
9.3.2.1
Versions
9.3.2.2
Display
9.3.3
Viewing Lot Availability
9.3.4
Reviewing Lot Quantities
9.3.5
Revising Lot Activity Dates
9.3.6
Assigning Lot Status Codes
9.4
Setting Up Allowed Lot Status Codes
9.4.1
Understanding Lot Status Codes
9.4.2
Forms Used to Set Up Allowed Lot Status Codes
9.4.3
Adding Allowed Lot Status Codes
9.5
Viewing Lot Transactions
9.5.1
Understanding Tracking and Tracing
9.5.2
Understanding Faulty Lot Tracing
9.5.3
Understanding Electronic and Device Quality Records
9.5.3.1
Item Information
9.5.3.2
Quality Results
9.5.3.3
As Built Comparison
9.5.3.4
Engineering History
9.5.3.5
Production History
9.5.3.6
Audit and Signature
9.5.4
Forms Used to View Lot Transactions
9.5.5
Setting Processing Options for Track/Trace Inquiry (P41203)
9.5.5.1
Display
9.5.5.2
Document Type
9.5.5.3
Defaults
9.5.5.4
Version
9.5.6
Reviewing Lot Trace and Track Information
9.5.6.1
Driver
9.5.6.2
Additional Filter
9.5.6.3
Additonal Elements
9.6
Reclassifying Lots
9.6.1
Understanding Lot Reclassification
9.6.1.1
Effective Date Calculations
9.6.2
Prerequisites
9.6.3
Forms Used to Reclassify Lots
9.6.4
Setting Processing Options for Item Reclassifications (P4116)
9.6.4.1
Defaults
9.6.4.2
Versions
9.6.4.3
Process
9.6.4.4
Interop
9.6.4.5
Agreement
9.6.5
Reclassifying Items and Lots
9.7
Setting Up Dates for Lots
9.7.1
Understanding Lot Date Information
9.7.1.1
Expiration Date Calculation Method
9.7.2
Prerequisite
9.7.3
Forms Used to Set Up Dates for Lots
9.7.4
Entering Lot Date Information
9.7.4.1
Lot Processing
9.7.5
Calculating Active Components or Ingredients
9.7.5.1
Manufacturing Data
9.8
Defining Effective Dates for Future Availability
9.8.1
Understanding Future Availability Dates
9.8.1.1
Effective Days Calculations
9.8.1.2
Availability and Commitment Calculations
9.8.1.3
Purchasing Commitments
9.8.1.4
Manufacturing Commitments
9.8.1.5
Material Requirements Planning (MRP)
9.8.2
Form Used to Define Effective Dates for Future Availability
9.8.3
Defining Effective Days
9.8.3.1
Lot Processing
9.8.4
Running the Update Effective Lots Program
9.8.5
Setting Processing Options for Update Effective Lots (R41083)
9.8.5.1
Defaults
9.8.5.2
Omit
9.8.5.3
Process
9.9
Setting Up Lot Shipment Ascending Dates
9.9.1
Understanding Shipment Ascending Date Rules
9.9.2
Prerequisites
9.9.3
Forms Used to Set Up Lot Shipment Ascending Dates
9.9.4
Setting Up Preference Names for Advanced Lots
9.9.5
Attaching Preference Names to Schedules
9.9.6
Setting Up Lot Shipment Ascending Date Rules
10
Managing Containers
10.1
Understanding Container Management
10.1.1
Prerequisite
10.1.2
Container Management Features
10.1.3
Inventory and the Container Life Cycle
10.1.4
Container Management System Flow
10.1.5
Tasks That Integrate with Container Management
10.1.5.1
Recording the Container Receipt
10.1.5.2
Filling the Container
10.1.5.3
Processing Sales Orders
10.1.6
Container Types
10.1.7
Deposits and Rental Fees
10.1.7.1
Deposit Layers
10.1.8
Billing Methods
10.1.8.1
Summary Method
10.1.8.2
Transaction Method
10.2
Understanding Setup Tasks
10.2.1
Order Line Types
10.2.2
Order Activity Rules
10.2.3
Item Types
10.2.4
User-Defined Codes
10.2.5
Print Messages
10.2.6
AAIs
10.2.7
Invoice Cycle Calculation
10.3
Understanding Pricing Schedules
10.4
Setting Up Container Codes and Items
10.4.1
Understanding Container Codes
10.4.2
Forms Used to Set Up Container Codes and Items
10.4.3
Identifying Container Codes
10.4.3.1
UCC 128
10.4.4
Identifying Item Numbers for Empty Containers
10.5
Setting Up Container Preferences
10.5.1
Understanding Container Preferences
10.5.2
Prerequisites
10.5.3
Forms Used to Set Up Container Preferences
10.5.4
Creating a Container Deposit/Rental Preference
10.5.5
Creating an Invoice Cycle Preference
10.5.6
Creating a Pricing Unit of Measure Preference
10.5.7
Creating a Print Message Preference
10.6
Setting Up Serial Number Tracking
10.6.1
Understanding Serial Number Processing
10.6.2
Forms Used to Set Up Serial Number Tracking
10.6.3
Setting Up Serial Number Information
10.7
Processing Container Transactions
10.7.1
Understanding Container Transactions
10.7.2
Prerequisites
10.7.3
Forms Used to Process Container Transactions
10.7.4
Running Container Management Extraction
10.7.4.1
Data Selection
10.7.5
Processing Rental Fees, Deposits, and Refunds
10.7.6
Creating Sales Order Lines for Rental Fees
10.7.7
Creating Sales Order Lines for Deposits and Refunds
10.7.8
Processing Sales Order Lines for Rental Fees, Deposits, and Refunds
10.7.9
Reviewing Container Deposits
10.7.10
Reviewing Container Transactions
11
Managing Data Purges
11.1
Understanding Data Purges
11.2
Purging Data
11.2.1
Understanding Purge Programs
11.2.2
Prerequisites
11.2.3
Running the Item Master Purge
11.2.4
Setting Processing Options for Item Master Purge (R4101P)
11.2.4.1
Process
11.2.5
Running the Item Balance Purge
11.2.6
Setting Processing Options for Item Balance Purge (R4102P)
11.2.6.1
Process
12
Performing System Updates
12.1
Prerequisite
12.2
Updating Item Information
12.2.1
Understanding Item Updates
12.2.2
Updating Item Master and Branch/Plant Information
12.2.3
Setting Processing Options for Item Master Global Update (R41804)
12.2.3.1
Process
12.2.3.2
Defaults 1
12.2.3.3
Defaults 2
12.2.3.4
Defaults 3
12.2.3.5
Defaults 4
12.2.3.6
Defaults 5
12.2.4
Updating Category Codes and Item Numbers
12.2.5
Setting Processing Options for Global Reporting Code Update (R41803)
12.2.5.1
Process 1
12.2.5.2
Process 2
12.2.5.3
Process 3
12.2.5.4
Process 4
12.2.5.5
Process 5
12.2.6
Generating the Segment Cross-Reference
12.2.7
Setting Processing Options for Segment Cross Reference Generation (R41045)
12.2.7.1
Defaults
12.2.7.2
Process
12.3
Revising Location Format
12.3.1
Understanding Location Format Revision
12.3.1.1
Process for Revising Location Format
12.3.2
Understanding Table Selection
12.3.2.1
Field Specifications for UDC 41/LU
12.3.2.2
Requirements for Including Custom Tables
12.3.3
Prerequisites
12.3.4
Forms Used to Revise Location Format
12.3.5
Defining the New Location Format for the Model Branch
12.3.6
Setting Processing Options for Location Field Update (R41821)
12.3.6.1
Batch Re-Format
12.3.6.2
Location Code
12.3.7
Updating the Location Format
A
Tables Used in the Inventory Management System
A.1
Inventory Management Tables
A.1.1
Inventory Management Tables
B
Inventory Management Reports
B.1
Understanding Inventory Management Reports
B.2
JD Edwards EnterpriseOne Inventory Management Reports: A to Z
B.3
Selected JD Edwards EnterpriseOne Inventory Management Reports
B.3.1
Reviewing the Supply/Demand Report
B.3.2
R4051–Processing Options for the Supply/Demand Report
B.3.2.1
Process
B.3.2.2
Display
B.3.3
Reviewing the Item Profile Report
B.3.4
R410400 – Processing Options for the Item Profile Report
B.3.4.1
Processing
B.3.5
Reviewing the Profile Information by Data Type Report
B.3.6
R410410 — Processing Options for the Profile Information by Data Type Report
B.3.6.1
Process
B.3.7
Reviewing the Inventory Turn Report
B.3.7.1
Data Selection
B.3.8
R41116 — Processing Options for the Inventory Turn Report
B.3.8.1
Selections
B.3.8.2
Dates
B.3.9
Reviewing the Customer/Distributor Balance Report
B.3.10
Reviewing the Container Reconciliations Report
B.3.10.1
Data Selection
B.3.11
Reviewing the Print Variance Detail Report
B.3.11.1
Data Selection
B.3.12
R41403 — Processing Options for the Cycle Variance Print Detail Report
B.3.12.1
Processing
B.3.13
Reviewing the Track/Trace Print Report
B.3.14
R41505 — Processing Options for the Track/Trace Print Report
B.3.14.1
Display
B.3.15
Reviewing the Price Book Report
B.3.16
R41510 — Processing Options for the Price Book Report
B.3.16.1
Display Value
B.3.17
Reviewing the Buying Guide Report
B.3.18
R4152 — Processing Options for the Buying Guide Report
B.3.18.1
Display
B.3.19
Reviewing the Stock Status Report
B.3.20
R41530 — Processing Options for the Stock Status Report
B.3.20.1
UOM Options
B.3.20.2
Lot Options
B.3.21
Reviewing the Item Ledger/Account Integrity Report
B.3.21.1
Data Sequence
B.3.22
R41543 – Processing Options for the Item Ledger/Account Integrity Report
B.3.22.1
Report Display
B.3.23
Reviewing the Item Balance/Ledger Integrity Report
B.3.24
R41544 — Processing Options for the Item Balance/Ledger Integrity Report
B.3.24.1
Process
B.3.25
Reviewing the Inventory Journal Report
B.3.26
R41550 — Processing Options for the Inventory Journal Report
B.3.26.1
Print Options
B.3.27
Reviewing the Item Master Directory Report
B.3.28
R41560 — Processing Options for the Item Master Directory Report
B.3.28.1
Process
B.3.29
Reviewing the Unit Cost Warnings Report
B.3.30
R41580 — Processing Options for the Unit Cost Warnings Report
B.3.30.1
Variance
B.3.31
Reviewing the Valuation Analysis Report
B.3.31.1
Data Sequence
B.3.32
R41590 — Processing Options for the Inventory Valuation Analysis Report
B.3.32.1
Costing Method
B.3.33
Reviewing the ABC Analysis Report
B.3.34
Prerequisites
B.3.35
R4164 — Processing Options for the ABC Analysis Report
B.3.35.1
Display
B.3.35.2
Process
B.3.35.3
Update
B.3.36
Reviewing the Inventory Cost/Price Comparison Report
B.3.37
R41700 — Processing Options for the Inventory Cost/Price Comparison Report
B.3.37.1
Defaults
B.3.38
Reviewing the Country of Origin Update for Items Report
B.3.39
R41806— Processing Options for the Country of Origin Update for Items Report
B.3.39.1
Default
B.3.40
Reviewing the Country of Origin Update for Lots Report
B.3.41
R41807— Processing Options for the Country of Origin Update for Lots Report
B.3.41.1
Default
B.3.42
Running the Update Sellable Field Report (R41900)
B.3.43
R41900 — Processing Options for the Update Sellable Field Report
B.3.43.1
Process
Glossary
Index
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