Pull forecast schedulesA pull schedule of the type forecast is a nonreferenced schedule that can be generated only by Enterprise Planning and that cannot be manually created. Based on the parameters and triggers, the following steps are completed: Step 1. Generating a schedule header and lines LN generates a schedule header and schedule lines in the Purchase Schedule (tdpur3610m000) session. Before a pull forecast schedule can be automatically generated by Enterprise Planning, the following information is exchanged between Enterprise Planning and Purchase Control:
LN only generates a new schedule if Enterprise Planning does not find an existing pull schedule for a combination of item, buy-from business partner, ship-from business partner, and purchase office. Schedule lines are regarded the same if the Planned Receipt Date and Option List ID fields are equal. Although you cannot manually create pull forecast schedules, if no schedule lines exist yet, you can update an active pull forecast schedule in the Purchase Schedules (tdpur3110m000) session. Step 2. Regenerating schedule lines Schedule lines must be regenerated in the Regenerate Schedules (tdpur3211m000) session. For pull-forecast schedules, regeneration is performed only to retrieve the correct segment set, pattern code, and buyer for the purchase schedule. For more information on using segment sets when regenerating purchase schedule lines, refer to Using segment sets. Step 3. Generating a purchase release The Generate Release Lines (tdpur3222m000) session is used to perform these actions:
Step 4. Approving the purchase release The purchase release must be approved in the Approve Release Lines (tdpur3222m100) session. Step 5. Printing the purchase release The purchase release must be printed in the Print Purchase Releases (tdpur3422m000) session. If the Communication Channel field is EDI in the Purchase Contract Line Logistic Data (tdpur3102m000) and Items - Purchase Business Partner (tdipu0110m000) sessions and the Release EDI Message Directly check box is also selected in these sessions, you need not print the purchase release in the Print Purchase Releases (tdpur3422m000) session. LN automatically prints the purchase release. Step 6. Inserting authorizations Authorizations are inserted in the FAB/RAW Authorizations (tdpur3534m000) session. Pull forecast schedules use the required cumulatives from the pull call-off schedule to calculate fab authorizations and raw authorizations. For more information, refer to Purchase schedule authorizations. Step 7. Generating a pull call-off schedule A pull call-off schedule must be generated. For more information, refer to Pull call-off schedules. Note You can use the Purchase Schedules (tdpur3610m100) session to filter the purchase schedules that require attention and to execute the appropriate actions on the schedule lines. For example, schedule lines that are almost due and are yet to be received, or lines whose due date ( planned receipt date) has passed.
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