Reset Cumulatives by Contract Total Line (tdpur3230m100)
Use this session to reset cumulatives and
authorizations by purchase contract Total line. A total line has several linked purchase contract line details and includes the totaled quantities and amounts of
these contract line details.
This session is applicable if you use corporate purchase contracts. In this case, a purchase schedule is linked to a
purchase contract line detail and the schedule price is retrieved from the Purchase Contract Prices (tdpur3103m000) session. If the Cumulative Price Break check box is selected in the Purchase Contract Prices (tdpur3103m000) session, a schedule line’s price is calculated
based on the aggregated CUM values of all schedules that share the same
contract total line.
The current session is required to simultaneously reset the
cumulatives for these schedules by shared contract total line, so the price
breaks from the Purchase Contract Prices (tdpur3103m000) session make
sense.
After the reset, you must verify your price breaks.
CUM (Reset) Date
A purchase release is used to send out, under one release
number, those schedules that share the following common characteristics:
- Buy-from business partner
- Ship-from business partner
- Ship-to address
- Release type (material release/ shipping schedule/ sequence
shipping schedule)
- Shipment based schedule/ receipt based schedule
- Communication method
- Warehouse