57 Inventory Cycle Counts

This chapter includes these topics:

57.1 Inventory Cycle Counts Overview

This chapter provides detailed information about the business interfaces that are available for the Inventory Cycle Counts business object.

This table lists all of the available interface components:

Interface Type Available Interfaces
Batch Import Programs This list includes the batch import programs for the Inventory Cycle Count business objects:
  • Cycle Count Inbound Transaction Process program (R4141Z1I)

  • Cycle Count Update program (R41413)



Note:

You can find additional technical information about each type of business interface component. For additional descriptions of the information available, and instructions for finding this information, see Chapter 5, "Accessing Additional Information for Business Interface Components."

57.2 Inventory Cycle Counts Batch Import Programs

You use batch import programs to import data from an external software system into the JD Edwards EnterpriseOne system, where it can then be processed by EnterpriseOne programs.

This table lists and describes the available batch import programs that are associated with the Inventory Cycle Count business objects:

Program and Program Type Description Available Documentation
Cycle Count Inbound Transaction Process program (R4141Z1I)

This is an interoperability program.

You run the Cycle Count Inbound Transaction Process program (R4141Z1I) to copy information from the F4141Z1 table to the F4141 table. See this topic:
Cycle Count Update program (R41413) After the cycle count has been entered, reviewed, and approved, run the Cycle Count Update program (R41413) to update ledgers and balances. This program records variances to the F4111, F0911, and F41021 tables. See this topic: