| Purchase Schedules (tdpur3110m100) Schedule The number of the purchase schedule. For pull schedules, the same schedule number can occur twice
in this session. The first number represents the Pull Forecast schedule type and the second number represents the Pull Call-off schedule type. Note You can specify the default number group for
purchase schedules in the Number Group field of the Purchase Schedule Parameters (tdpur0100m500) session. You can determine the default series for the purchase
schedule number group in the following sessions: - Purchase Offices (tdpur0112m000)
- Purchase User Profiles (tdpur0143m000)
Buy-from Business Partner The business partner from whom you order goods or services;
this usually represents a supplier's sales department. The definition includes
the default price and discount agreements, purchase-order defaults, delivery
terms, and the related ship-from and invoice-from business partner. Ship-from Business Partner The business partner who ships the ordered goods to your
organization. This usually represents a supplier's distribution center or
warehouse. The definition includes the default warehouse at which you want to
receive the goods and if you want to inspect the goods, the carrier that takes
care of the transport, and the related buy-from business partner. Item The raw materials, subassemblies, finished products, and tools
that can be purchased, stored, manufactured, and sold. An item can also represent a set of items handled as one kit,
or which exist in multiple product variants. You can also define nonphysical items, which are not
retained in inventory but can be used to post costs or to invoice services to
customers. The examples of nonphysical items: - Cost items (for example, electricity)
- Service items
- Subcontracting services
- List items (menus/options)
Note All item types are allowed except for the following item
types: - Items defined as Tools.
- Cost, Service, and Subcontracting items (in case of
consignment orders).
- List items.
- Generic Items.
- Project Items (only for pull schedules).
If, in the Items - Purchase Business Partner (tdipu0110m000) session, the supplier is blocked or
not approved, you cannot use the item in purchase schedules. If the Purchase Schedule in use check box in the Items - Purchase (tdipu0101m000) session is cleared for an item, the item cannot be
used for purchase schedules. Note If the warehouse is WMS controlled: - And the Serials in Inventory check box is cleared for the
warehouse in the WMS Interface Parameters (whwmd2105m000) session, you
cannot enter a serialized item for which the Serials in Inventory check box is selected in the Item - Warehousing (whwmd4100s000) session.
- And the Serials Not in Inventory check box is cleared for the
warehouse in the WMS Interface Parameters (whwmd2105m000) session, you
cannot enter a serialized item for which the Serials in Inventory check box is cleared in the Item - Warehousing (whwmd4100s000) session.
- And the Lots Not in Inventory check box is cleared for the
warehouse in the WMS Interface Parameters (whwmd2105m000) session, you
cannot enter a lot controlled item for which the Lots in Inventory check box is cleared in the Item - Warehousing (whwmd4100s000) session.
Purchase Schedule Type The type of the purchase schedule. Note - If LN generates a schedule, the type of the schedule is defaulted from
the Purchase Schedule Type field of the Items - Purchase (tdipu0101m000) session.
- If you manually enter a schedule, the schedule is always of
the type Push. You cannot manually create pull schedules.
Status The purchase schedule's status. Contract The number of the linked purchase contract. LN automatically links a normal contract to the purchase schedule.
However, instead, you can link a special contract to the purchase
schedule. To unlink the normal contract and link a special contract to the
purchase schedule, click Change Contract. As a result, the Selected Purchase Contract Lines (tdpur3512s000) session
starts from which you can select a special contract. When you change the
contract, LN decreases
the called quantity of the normal contract and increases the
called quantity of the special contract. Note - In case of external business partners, a schedule is always
linked to a contract line. Logistic agreements, which are mandatory for a
schedule, are defaulted from the Purchase Contract Line Logistic Data (tdpur3102m000) session.
- If an internal business partner is entered, for whom
usually no contract is present, the logistic agreements are defaulted from the Items - Purchase Business Partner (tdipu0110m000) session.
Required CUM A schedule's total required cumulative quantity, calculated
from the CUM reset date on up to the planned requirement date, which is the
planned delivery date or planned shipment date. Required CUMs are updated as
soon as receipts are confirmed for the schedule line(s). Inventory Unit The unit of measure in which the inventory of an item is
recorded, such as piece, kilogram, box of 12, or meter. The inventory unit is also used as the base unit in measure
conversions, especially for conversions that concern the order unit and the
price unit on a purchase order or a sales order. These conversions always use
the inventory unit as the base unit. An inventory unit therefore applies to all
item types, also to item types that cannot be kept in stock. Received CUM A schedule's total received cumulative quantity, calculated
from the CUM reset date on up to the last transaction date, which is the
receipt date. Received CUMs are updated as soon as receipts are made for the
schedule line(s). Last ASN from Supplier The most recent advance shipment notice number, communicated by the supplier and received in Warehousing. Generation Date The date the specific schedule is (re)generated. Warehouse The warehouse in which the items must be received. Note - The warehouse cannot be of the type Consignment (Owned).
- A warehouse of the type Consignment (Not Owned) is allowed only if the Consigned check box is selected and the ship-from
business partner is the owner of the items in the warehouse.
- This field is mandatory if the purchase schedule is linked
to a purchase contract line detail.
Ship-to Address The address of the warehouse or place where the goods must be
delivered. Item Code Use this field to store the buy-from business partner's item code. Purchase Office A department in your organization that is responsible for
buying the materials and services required by your organization. You assign
number groups to the purchase office. If a schedule is linked to a contract, LN derives the
schedule's default purchase office from the linked contract. You can no longer
change the default purchase office on schedule level. If a schedule is not linked to a contract, LN derives the
schedule's purchase office from successively: - Items - Purchase Business Partner (tdipu0110m000)
- Items (tcibd0501m000)
- The purchase office that is linked to the buy-from business
partner.
- Purchase User Profiles (tdpur0143m000)
Note All the activities associated with the purchase schedule are
linked to the purchase office. All the financial transactions for the schedule
are logged against the financial company of the purchase office. Planner The planner who is responsible for this purchase
schedule. Buyer The buyer who is responsible for this purchase
schedule. Shipment/Receipt Based Use this field to define on what date and time schedule
requirements are based. Note This field is defaulted from the Shipment or Receipt Based field of the Purchase Contract Line Logistic Data (tdpur3102m000) session, or the Shipment or Receipt Based field of the Items - Purchase Business Partner (tdipu0110m000) session, but can be overwritten in
the current session. Delivery Terms The agreements with the business partner, concerning the way
the goods are delivered. Relevant information is printed on various order
documents. Point of Title Passage The point at which the legal ownership changes. At this point,
the risk passes from the seller to the buyer. Consigned If this check box is selected, the item specified on
the schedule is handled as consignment inventory. Note - If the schedule is generated by Enterprise Planning, you
cannot select this check box.
- If you manually create the schedule and Invoice After is set to Receipt,
you cannot select this check box.
Purchase Order Type The purchase order type that is used to retrieve the warehousing order type when generating warehousing orders
from the purchase schedule. Note You can define purchase order types and link a warehousing
order types to the purchase order type in the Purchase Order Types (tdpur0194m000) session. LN retrieves the default purchase order type successively from the following
sessions: - Purchase Contracts (tdpur3100m000)
- Sales User Profiles (tdsls0139m000)
- Buy-from Business Partner (tccom4120s000)
The following purchase order types are not allowed for
purchase schedules: - Direct delivery
- Collect order
- Return order
- Cost order
- Subcontracting order
- Consignment payment type
Segment Set for Material Release The segment set used for material releases. Default value This field is defaulted from the Segment Set for Material Release field of the Purchase Contract Line Logistic Data (tdpur3102m000) session, or the Items - Purchase Business Partner (tdipu0110m000) session. Segment Set for Shipping Schedule The segment set used for shipping schedules. Default value This field is defaulted from the Segment Set for Shipping Schedule field of the Purchase Contract Line Logistic Data (tdpur3102m000) session, or the Items - Purchase Business Partner (tdipu0110m000) session. Material Release Issue Pattern The pattern used to determine the issue time for material releases. Default value This field is defaulted from the Issue Pattern for Material Release field of the Purchase Contract Line Logistic Data (tdpur3102m000) session, or the Items - Purchase Business Partner (tdipu0110m000) session. Shipping Schedule Issue Pattern The pattern used to determine the issue time for shipping schedules. Default value This field is defaulted from the Issue Pattern for Shipping Schedule field of the Purchase Contract Line Logistic Data (tdpur3102m000) session, or the Items - Purchase Business Partner (tdipu0110m000) session. Extra Intrastat Info Statistical import/export data that is not available as
standard information in LN, but which is required on the sales listing or the
Intrastat declaration by some of the EU member states. You can add up to 15 data fields to the Intrastat statistical
data by defining them as extra Intrastat information set. You can assign the
extra Intrastat information sets to warehouse order lines. Log Schedule History If this check box is selected, history must be logged
for the purchase schedule. Note This field cannot be changed during the life cycle of the
purchase schedule. Default value This field is defaulted from the Log Schedule History parameter in the Purchase Schedule Parameters (tdpur0100m500) session at the moment the purchase schedule
is created. If the parameter changes after the purchase schedule creation date,
this field is not changed. Schedule Text If this check box is selected, a special text with, for
example, additional reference information is available. Invoice-from BP The business partner that sends invoices to your organization.
This usually represents a supplier's accounts receivable department. The
definition includes the default currency and exchange rate, invoicing method
and frequency, information about your organization's credit limit, the terms
and method of payment, and the related pay-to business partner. Area A region used to group business partners, customers, suppliers
and employees on a geographical basis. Default value The default area that is assigned to the buy-from business partner is derived from the Buy-from Business Partners (tccom4520m000) session. Order Discount A discount percentage or amount to be subtracted from the total
order amount. Default value The default order discount is derived from the Buy-from Business Partners (tccom4520m000) session. Currency The purchase schedule's currency. Default value The currency is defaulted from the invoice-from business
partner that is linked to the buy-from business partner. However, you can
overwrite the default currency. Note - You cannot modify the schedule's currency if schedule lines
are released.
- If the purchase schedule is a Pull Schedule, you cannot
modify the currency.
Exchange Rate Type A way to group currency exchange rates. You can assign
different currency exchange rates to different invoice-to business partners
and/or to different types of transactions (purchase, sales, and so on). Rate Determiner The way in which LN determines the exchange rate that is used. The company's currency system, which you can define in the Currency System field of the Companies (tcemm1170m000) session, determines what options you have. Use Purchase Rates for Receipts If this check box is selected, LN uses purchase rate
data for the debit side of the purchase order/receipt transaction. Note The value of this field is retrieved from the corresponding
field in the Buy-from Business Partner (tccom4120s000) session. Rate The factor by which purchase transaction amounts in a foreign
currency are multiplied to produce the amounts in the home currency. Note To apply the same purchase rate during the entire life of a
schedule, when a purchase schedule header is created manually or automatically,
the rate is retrieved from the Currency Rates (tcmcs0108m000) session. As long as no schedule lines are created for
the purchase schedule, you can change the purchase rate in this field. Rate Factor The factor by which the amount in the transaction currency or
the invoice currency is divided before LN converts it to a home
currency. A rate factor is often used for currencies that have a relatively low
price, for example, Korean Won. Note To apply the same rate factor during the entire life of a
schedule, when a purchase schedule header is created, the rate factor is
retrieved from the Currency Rates (tcmcs0108m000) session. As long as no schedule lines
are created for the purchase schedule, you can change the rate factor in this
field. Defined Rate The defined currency exchange rate. Self-Billing If this check box is selected, the scheduled items are self-billed by your company. If this check box is cleared, the purchase invoice is
created by the buy-from business partner and received by your company. Invoice After You can indicate for a purchase schedule when a self billed
invoice can be generated. Self-Billing Method If the Self-Billing check box is selected, use this
field to select a self-billing method, which determines how self-billing is
carried out. The self-billing method determines, among other things, the
criteria for composing the invoice, the invoicing interval, the output medium,
and so on. Payment Use this field to define the payment between the purchase
office, which issues the purchase schedule, and the supplier. Note - You can only define this field if the purchase schedule is
a push schedule with a linked blanket warehouse order.
- This field is set to Pay on Use if the Consigned check box is selected for the push
schedule.
- Pay on Use or No Payment can only be selected if a sold-to business partner is linked
to the warehouse.
Payment (Internally) Use this field to define the payment between the purchase
office, which issues the purchase schedule, and the warehouse, which receives
the purchase schedule. Note - You can only define this field if the Ownership Internal check box is selected in the Implemented Software Components (tccom0100s000) session.
- You can only define this field if the purchase schedule is
a push schedule with a linked blanket warehouse order.
- This field is set to Pay on Receipt if the purchase office is linked to the same enterprise unit as the warehouse.
- If the buy-from business partner is an internal business
partner, this field cannot be set to Pay on Use.
- This field is set to Not Applicable if the Payment field is set to No Payment.
- This field cannot be set to No Payment.
Payment (Direct Delivery) Use this field to define the payment between the purchase
office, which issues the purchase schedule, and the customer. This field applies if a purchase schedule is created at the
supplier's location for directly delivering goods to a VMI warehouse at the customer's location by a third
party. You can only define this field if the purchase schedule is a push schedule with a linked blanket warehouse order. Note - You can only define this field if the Ownership External check box is selected in the Implemented Software Components (tccom0100s000) session.
- You can only define this field if the purchase schedule is
a push schedule with a linked blanket warehouse order.
- This field must be set to Pay on Use or No Payment if the warehouse has a sold-to business partner
linked to it.
- This field is set to Not Applicable if the warehouse has no linked sold-to business
partner.
- This field cannot be set to Pay on Receipt, because no sales orders can be generated for purchase
schedules.
Tax Classification An attribute of order headers and order lines that you can use
to define tax exceptions for the transaction. LN retrieves the default
tax classification from the invoice-from and invoice-to business partners. For example, you can use the tax classification to
indicate: - That payments to an invoice-from business partner are subject
to withholding tax and social contributions
- To group business partners who have the same tax aspects for
your company, for example, subcontractors, or agents
- That the tax must be paid in a country other than the sales
office or service office's home country
Default value This field is defaulted from the Business Partner Tax Classification field of the Invoice-from Business Partner (tccom4122s000) session. Pay-to BP The business partner to whom you pay invoices. This usually
represents a supplier's accounts receivable department. The definition includes
the default currency and exchange rate, the supplier's bank relation, the
number of days within which you must pay the invoices, and if the business
partner uses a factoring company. Payment Terms Agreements about the way in which invoices are paid. The payment terms include: - The period within which invoices must be paid.
- The discount granted if an invoice is paid within a given
period
The payment terms allow you to calculate: - The date on which the payment is due
- The date on which the discount periods expire
- The discount amount
Contract Purchase Office The purchase office linked to the contract line. Note If a schedule is linked to a contract, the schedule's
default contract office is derived from the contract line. If this field is
filled, the contract office must be the same as the purchase
office. If a schedule is not linked to a contract, this field is
not, and must not be filled. Additional Field User-defined fields of various field formats that can be added
to various sessions, in which users can edit these fields. No functional logic
is linked to the contents of these fields. Additional information fields can be linked to database
tables. When linked to a table, the fields are displayed in the sessions
corresponding to the database tables. For example, a field defined for the
whinh200 table is displayed as an extra field in the Warehousing Orders (whinh2100m000) session. The contents of additional fields can be transferred between
database tables. For example, the information specified by a user in additional
information field A of the Warehousing Orders (whinh2100m000) session is transferred to additional information field
A in the Shipments (whinh4130m000) session. For this purpose, additional information
fields with identical field formats and field name A must be present for the
whinh200 and the whinh430 tables (whinh430 corresponds to the Shipments (whinh4130m000) session). | |