|   | Multicompany warehouse transfersMulticompany warehouse transfers enable you to use warehouse
		transfers to ship goods between warehouses that belong to different logistic companies. The benefits of multicompany warehouse transfers are: - More transparency about the inter-logistical company transfers
		  to the user.
 - Fewer transactions.
 
 Note - You cannot use customized items in multicompany warehousing
			 orders, because the project data is not shared in the overall multicompany
			 solution. For the same reason, you cannot use customized items for project
			 warehouses.
 - You can only use multicompany warehousing orders in a
			 single-server environment.
 
 Multicompany warehouse transfer setup A warehousing order is a multicompany warehouse transfer if
		  in the Warehousing Orders (whinh2100m000) session: - The inventory-transaction type is Transfer.
 - The Ship-from Type and the Ship-to Type are Warehouse.
 - The warehouses specified in the Ship-from Code and Ship-to Code fields belong to different logistic companies.
 
 In case of a multicompany warehouse transfer, the Related Order/Company field in the Warehousing Orders (whinh2100m000) session indicates the linked warehousing order of the
		other logistic company. Order creation/generation You can only create a multicompany warehouse transfer order in
		the ship-from company. When you create a multicompany warehouse transfer order, LN checks whether the
		companies are on the same server. If so, LN also creates the
		warehousing order in the ship-to company. Multicompany warehouse transfer order can be generated in the
		  ship-to company if one of the following supply systems apply: -  Time-Phased Order Point
 -  KANBAN
 -  Order Controlled/Batch
 -  Order Controlled/SILS
 -  Order Controlled/Single
 
 The inbound-order line in the ship-to company is blocked until
		the outbound-order line in the ship-from company get the Shipped status. If the
		goods are shipped, LN unblocks the inbound-order line in the ship-to company to enable the receipt of
		the goods. If in the ship-from company an outbound-order line is created
		  with a lot, serial number, or effectivity unit the following scenarios are
		  possible: - The Lots (whltc100), Serial Numbers (tcibd401), and Effectivity
		  Units (tcuef002) tables are shared: the lot, serial number, or effectivity unit
		  is known on the outbound-order line in the ship-to company, the inbound-order
		  line in the ship-from company, and the inbound-order line of the ship-to
		  company.
 - The Lots (whltc100), Serial Numbers (tcibd401), Effectivity
		  Units (tcuef002) tables are not shared: the lot, serial number, or effectivity
		  unit is not known on the outbound-order line in the ship-to company and the
		  inbound-order line in the ship-to company. The lot, serial number, or
		  effectivity unit is known on the inbound-order line of the ship-from company.
 
 Outbound advice You can only generate outbound advice for outbound-order lines
		whose ship-from company is the logistical company the user is working in. Receipt When, in the ship-to company the goods are received by
		  linking the inbound-order line to the receipt, LN retrieves the
		  following data from the shipment lines in the ship-from company: - Package definition (levels)
 - Lot
 - Effectivity unit
 - Serial numbers
 
 In the ship-to company the receipt lines are created based on
		the shipment lines in the ship-from company. When, in the ship-to company, the receipt is confirmed, the
		received quantity is also updated in the ship-from company. Inventory In case of a multicompany warehousing order, LN maintains the
		  inventory as follows: - When, in the ship-from company, an outbound-order line is
		  created or changed, the ship-from company's allocated inventory is increased or
		  changed with the outbound-order line's quantity.
 - When, in the ship-to company, an inbound-order line is created
		  or changed, the ship-to company's on-order inventory is increased or changed
		  with the inbound-order line's quantity.
 - When, in the ship-from company, the shipment is confirmed the
		  ship-from company's allocated inventory is decreased and the in-transit
		  inventory is increased with the shipped quantity.
 - When, in the ship-to company, the receipt is confirmed, the
		  ship-to company's on-order inventory is decreased and the ship-from company's
		  in-transit inventory is decreased with the received quantity.
 
 Financial bookings In case of a multicompany warehousing order the financial
		  bookings related to: - The issue of the goods are logged in the ship-from company.
 - The receipt of the goods are logged in the ship-to company.
 
 The receipt price that is needed for financial bookings related
		to the receipt is calculated by use of the data of the ship-from company.
		However, if the receipt price on the inbound-order line is specified, that
		receipt price is used. Inventory transactions In case of a multicompany warehousing transfers, planned
		  inventory transactions are created in: - The ship-from company when the outbound-order line is created.
		  When the shipment is confirmed the planned inventory transaction is deleted and
		  an inventory transaction by item and warehouse is created.
 - The ship-to company when the inbound-order line is created.
		  When the receipt is confirmed the planned inventory transaction is deleted and
		  an inventory transaction by item and warehouse is created.
 
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