Contents
1 Introduction to JD Edwards EnterpriseOne Bulk Stock Inventory
- JD Edwards EnterpriseOne Bulk Stock Inventory Overview
- JD Edwards EnterpriseOne Bulk Stock Inventory Integrations
- JD Edwards EnterpriseOne Bulk Stock Inventory Implementation
2 Understanding Bulk Stock Inventory
- Bulk Stock Inventory System Functionality
- Bulk Stock Inventory System Tasks
- Tables Used by the Bulk Stock Inventory System
3 Understanding Intra-Depot Stock Movements
4 Setting Up the Bulk Stock Inventory System
- Activating the Bulk Stock Inventory System
- Setting Up AAIs for the Bulk Stock Inventory System
- Setting Up UDCs for the Bulk Stock Inventory System
- Setting Up Next Numbers for the Bulk Stock Inventory System
5 Setting Up Bulk Depots
- Understanding Bulk Depot Setup
- Setting Up Depot Constants for Bulk Products
- Understanding Depot Constants for Bulk Products
- Understanding Format Specifications for a Depot Location
- Understanding Depot Temperature and Density
- Prerequisite
- Forms Used to Set Up Depot Constants for Bulk Products
- Defining Format Specifications for a Depot Location
- Defining Depot Temperature and Density
- Setting Up Depot Locations
6 Setting Up Bulk Items
- Understanding Bulk Item Setup
- Setting Up Standard Conversions for Bulk Items
- Setting Up a Bulk Item
- Understanding Bulk Item Setup
- Understanding Basic Bulk Item Information Setup
- Understanding Default Units of Measure for Bulk Items
- Understanding Unit of Measure Conversion Setup by Bulk Item
- Understanding Item Temperature and Density
- Understanding Conversion Table Setup
- Prerequisites
- Forms Used to Set Up a Bulk Item
- Setting Processing Options for Item Master (P4101)
- Setting Up Basic Bulk Item Information
- Defining Default Units of Measure for Bulk Items
- Setting Up Unit of Measure Conversions by Bulk Item
- Defining Item Temperature and Density
- Setting Up Conversion Tables
- Setting Up Item Information by Depot
- Understanding Item Information Setup by Depot
- Prerequisite
- Forms Used to Set Up Item Information by Depot
- Setting Up Basic Item Information by Depot
- Defining a Primary Depot Location
- Setting Processing Options for Cost Revisions (P4105)
- Defining Cost Methods for Bulk Items
- Setting Up Additional Item and Depot Information
7 Setting Up Tanks and Flow Meters
- Understanding Tank and Flow Meter Setup
- Setting Up a Tank
- Defining Tank Temperature and Density
- Defining Product Groups
- Setting Up a Flow Meter
8 Moving Stock
- Understanding Stock Movement
- Recording Intra-Depot Stock Movements
- Recording an Intra-Depot Stock Movement for a Kit
- Recording a Gain or Loss on an Intra-Depot Stock Movement
- Calculating Volume from Dip Readings
- Calculating Volume from Weighbridge Information
9 Working with Bulk Product Receipts
- Understanding Bulk Product Receipts
- Recording Bulk Product Receipts
- Calculating Gain or Loss for Received Products
10 Working with Reconciliations
- Understanding Reconciliations
- Understanding Reconciliations Status
- Recording Closing Meter Readings
- Updating Throughput Transaction Status
- Understanding Throughput Transaction Status Update
- Understanding the Throughput Reconciliations Report
- Prerequisites
- Form Used to Update Throughput Transaction Status
- Setting Processing Options for Throughput Reconciliations (P415111)
- Reconciling Throughput Transactions
- Setting Processing Options for Review/Approve Variances (P415112)
- Approving Throughput Reconciliations
- Setting Processing Options for Throughput Reconciliations Report (R415403)
- Running the Throughput Reconciliations Report
- Updating Throughput Reconciliations
- Recording Tank Dip Readings
- Updating Operational Transaction Status
- Understanding Operational Transaction Status Update
- Understanding Operational Reconciliations Reports
- Prerequisites
- Forms Used to Update Operational Transaction Status
- Setting Processing Options for Operational Reconciliations (P415112)
- Reconciling Operational Transactions
- Setting Processing Options for Review/Approve Variances (P415111)
- Approving Operational Reconciliations
- Setting Processing Options for Operational Reconciliation Detail Report (R415407)
- Running the Operational Reconciliation Detail Report
- Running the Operational Reconciliations Report
- Updating Operational Reconciliations
- Reviewing Gains and Losses
- Reviewing Operational Reconciliation History
- Reviewing Reconciliation Status
11 Reviewing Bulk Stock Information
- Understanding Bulk Stock Information Review
- Reviewing Product Transactions
- Reviewing Monthly Tank Stock Status
- Reviewing Meter Readings
- Reviewing Location Segment Inquiry
- Reviewing Tank Readings