Editing an unprocessed plan
You can correct the requirement data of a failed release order import in the detail view of the Manage Unprocessed Plans page. If the problem is solved, then you can revalidate the unprocessed plan. The revalidation processes the unprocessed plan again from the start of the release order import independent of the last processing status.
To edit an unprocessed plan:
- Select Release Management > Manage Unprocessed Plans.
- Click the Drill down button of an unprocessed plan, to display the detail view of the Manage Unprocessed Plans page.
- Click Edit.
- Click the Single Plan tab.
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Specify the header information of the unprocessed plan:
- Customer
- Click the Lookup button of the field. Select the customer of the contract line from the dialog box. The customer is an arbitrary set of characters that is used to uniquely identify a customer in an accounting entity. The customer is taken from the ERP system.
- Customer Order Number
- Specify the customer's identity number that is assigned to a specific order.
- Current Received CUM
- Specify the new value for the current received CUM of goods that is received and confirmed by the customer. The current received cumulative quantity is based on the last CUM reset date. The current received CUM must be less than or equal to the current shipped CUM and less than or equal to the total received CUM.
- New Release Number
- Specify the new release order number.
- New Release Date
- Specify the new release order date. Select a date from the calendar.
- Calculation Date
- If a new plan is imported and does not contain a calculation
date, it is imported to the Manage Unprocessed Plans page. Edit
the calculation date to enable the plan to be re-validated. After being
re-validated, it is imported as a new plan. The calculation date logic applies only
to single plans for which the calculation date setting has been defined as
Delete all Requirements before
Calculation Date on the Requirement Consolidation
Rules page.Note: When a new plan arrives, all requirements from the current plan dated before the Calculation Date value of the new plan are removed. Next, the requirements from the current plan are copied into the new plan. Lastly, every requirement from the new plan is loaded even if there are items before the start date in the new plan.
- Ship To
- Click the Lookup button of the field. Select the ship to location of the customer from the dialog box. The ship to locations that are displayed in the dialog box are valid for the selected customer.
- Last Received Date
- Specify the date of the last goods receipt by the customer. You can select a date from the calendar.
- Last Received Quantity
- Specify the quantity of the last goods receipt by the customer.
- Old Release Number
- Specify the old release order number.
- Old Release Date
- Specify the old release order date. Select a date from the calendar.
- Customer Item
- Click the Lookup button of the field. Select the customer item number for which a contract line with an internal item number exists from the dialog box. The customer items that are displayed in the dialog box are valid for the selected customer and ship to.
- CUM Reset Date
- Specify the reset date of the current received cumulative quantities. The reset date is usually the end of the fiscal year that is determined by the customer. You can select a date from the calendar.
- CUM on Reset Date
- Specify the shipped cumulative quantity of goods on the reset date of CUMs.
- Release Horizon Start Date
- Specify the start date of the time horizon for release orders. Select a date from the calendar.
- Release Horizon End Date
- Specify the end date of the time horizon for release orders. Select a date from the calendar.
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Specify additional information that is required in this context in the CUM Information, Release Information, and Trading Partner Information field sets. You can compare old values and new values of these CUM fields:
- Total Shipped CUM / New Total Shipped CUM
- Specify the new value for the total shipped cumulative quantity of goods that is sent by the supplier. The total shipped cumulative quantity is based on the contract duration, for example, several years.
- Current Shipped CUM / New Current Shipped CUM
- Specify the new value for the current shipped cumulative quantity of goods that is sent by the supplier. The current shipped cumulative quantity is based on the last CUM reset date.
- Total Shipped CUM of LSP / New Total Shipped CUM of LSP
- Specify the new value for the total cumulative quantity of goods under consignment that is shipped to an external LSP's stock. See New Current Shipped CUM of LSP.
- Current Shipped CUM of LSP / New Current Shipped CUM of LSP
- Specify the new value for the current cumulative quantity of goods under consignment that is shipped to an external LSP's stock. CUMs under consignment are required to calculate the exact in-transit quantity of goods if the external LSP and the customer are separated. The customer is not yet informed about the quantity of goods that has been shipped to the external LSP and the goods receipt. The shipped CUMs are increased when shipping the goods from the external LSP to the customer. Release Management processes a confirmed inventory consumption message. To check the inventory consumption, click View Shipments in the detail view of the View Plans, Manage Planning Schedules, or Manage Shipment Schedules pages.
- To edit the field entries of an order line, click the Drill down button of the order line of the single plan. Change the required field entries in the New Schedule Requirement dialog box and click OK.
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To delete an order line, select the order line and click the
Delete button.
The order line is removed.
- Create and edit the confirmed shipments.
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To save the changes, click Save.
A notification displays that the unprocessed plan has been saved successfully.
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To process the unprocessed plan, click Revalidate.
The plan is processed again from the start of the release order import.