Terms and Conditions - Search Results (tctrm2151m300)
Use this session to display the Internal terms and conditions effective for a business partner.
These are the results of the search simulation process that you initiated from one of the following sessions:
- Terms and Conditions - Searches (tctrm2150m000)
- Inbound Order Lines (whinh2110m000)
- Outbound Order Lines (whinh2120m000)
LN displays the Order and Logistics terms and conditions groups in this session. If the Search Level is set to zero for a specific terms and conditions group, no terms and conditions are defined for this group.
- The fields on the Order tab refer to the Order Terms and Conditions (tctrm1130m000) session.
- The fields on the Logistics tab refer to the Logistics Terms and Conditions (tctrm1140m000) session.
Field Information
- User
- Test Number
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The sequence number of the search test from the Terms and Conditions - Searches (tctrm2150m000) session.
- Logging Date
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The date and time the terms and conditions are retrieved.
- Terms and Conditions ID
- Search Level
- Position
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The number used to identify the position of the terms and conditions line on the terms and conditions agreement or the terms and conditions template.
- Effective Date
- Expiry Date
- Payment
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Use this field to define the point at which the goods receiver acquires financial ownership of the goods and must pay for them.
Allowed values
- Pay on Receipt
- Pay on Use
- No Payment
- Not Applicable
- Ownership for Return to Warehouse
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Use this field to define whether an item returned to the warehouse after a consumption for a production order, for example, must be stored as owned by the supplier if at the moment of issue the items were also owned by the supplier, or whether a returned item is always owned and paid for by the customer.
Allowed values
- Company Owned
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company owned
- Consigned
- Customer Owned
- Return as Issued
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When items are returned from the production environment to the warehouse, for example, because fewer items were required than issued for production, the original owner at the time of issue will become the owner again (unless the items are damaged).
- Deferred
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The date the ownership is transferred from supplier to customer is still unknown. The change date is determined after the items are picked, and depends on both the warehouse types involved in the goods transfer and the agreement between supplier and customer.
- Not Applicable
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Your own organization owns the inventory. Ownership behavior refers only to not-owned inventory.
- Transfer Type
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Use this field to define the type of transfer order that must be generated to replenish administrative customer warehouses and subcontracting warehouses.
The transfer order selected in this field is used to do the following:
- Transfer planned distribution orders to replenish a customer's administrative warehouse if the supplier is responsible for the supply planning.
- Supply subassemblies and materials to the subcontractor in case of operation subcontracting or item subcontracting.
Note:- You cannot define this field if the terms and conditions type is set to Internal.
- You cannot select Warehouse Transfer if the Payment field is set to Pay on Receipt.
- Select Sales Order Transfer or Sales Schedule Transfer if the goods' ownership must change from the supplier to the customer. However, in case of subcontracting, the goods receiver does not acquire the ownership of the delivered goods.
Allowed values
- Warehouse Transfer
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A warehousing order is generated for which the Order Origin is set to Transfer in the Warehousing Orders (whinh2100m000) session.
- Sales Order Transfer
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A sales order is generated for which the Delivery Type is set to Warehouse in the Sales Order Lines (tdsls4101m000) session.
A Sales Order Transfer has the following advantages over a Warehouse Transfer:
- You can generate and confirm orders by means of EDI.
- You can carry out the sales order procedure, including the printing of documents.
- You can use statistics.
- Sales Schedule Transfer
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A sales schedule is generated for which the Goods Flow is set to Warehouse Transfer Delivery in the Sales Schedules (tdsls3111m000) session.
- Receipt Triggered Order
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Use this field to define how unexpected receipts must be handled if goods are automatically received.
If no open orders or schedules exist against which goods can be received, you can define whether a Purchase Order or a Purchase (Manual) Order must be generated for an unexpected receipt.
Depending on this field, a purchase (manual) order is generated, after which LN automatically approves the purchase order and releases it to Warehousing . The inbound order line is automatically linked to the unexpected receipt line and confirmed.
Note:- This field can only be defined if the terms and conditions type is set to Purchase.
- You cannot select Purchase (Manual) Order if the Payment field is set to Pay on Receipt.
- Price Determination Based on
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Define how the price for the payment/invoicing of consignment inventory is determined: based on the price that is valid at the moment of replenishment or consumption.
Note:- You cannot define this field if the terms and conditions type is set to Internal.
- You cannot define this field if the Payment field is set to Pay on Receipt or No Payment.
- The consumption date is retrieved from the Usage Date field of the Purchase Payable Receipts (tdpur4130m000) session.
Allowed values
- Replenishment
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The price is based on the price/contract data of the replenishment order.
- Consumption
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The price is based on standard Pricing (PCG) data valid on the consumption date.
When goods are consumed, a new contract search is executed and the actual price and discounts are retrieved. The payment/invoicing is based on the contract that is effective at the time of issue. If multiple contracts are applicable, the first special contract that is found is linked to the consignment payment/invoicing order.
- Log Intrastat as Blocked
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If the Payment field is set to Pay on Use, this check box determines whether the customer or the supplier logs the Intrastat receipt of the goods.
Note:- If the terms and conditions type is set to Purchase, and this check box is selected, the customer logs the Intrastat receipt. The Intrastat receipt that is logged by the supplier is blocked for reporting. Therefore, the supplier's logging is not reported unless you unblock it.
- If the terms and conditions type is set to Sales, and this check box is selected, the supplier logs the Intrastat receipt. The Intrastat receipt that is logged by the customer is blocked for reporting. Therefore, the customer's logging is not reported, unless you unblock it.
- If the terms and conditions type is set to Internal, you cannot select this check box.
Note: This check box is useful in situations where the supplier is responsible for inventory management and the customer does not know the receipt details. - Search Level
- Position
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The number used to identify the position of the terms and conditions line on the terms and conditions agreement or the terms and conditions template.
- Effective Date
- Expiry Date
- Usage at Warehouse Transfer
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Use this field to define what is considered a consumption/usage of goods and therefore when the ownership of the goods changes for a warehouse transfer.
Note: You must only define this field if the Payment field is set to Pay on Use in the Order Terms and Conditions (tctrm1130m000) session.Allowed values
- Always
-
The issue of goods for a transfer always results in a usage and a change of ownership.
- Only between Clusters
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The issue of goods for a transfer between warehouses belonging to different clusters results in a usage and a change of ownership.
- Only between Enterprise Units
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The issue of goods for transfers between warehouses belonging to different enterprise units results in a usage and a change of ownership.
- Only between Financial Companies
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The issue of goods for transfers between warehouses belonging to different financial companies results in a usage and a change of ownership.
- No
-
The issue of goods for warehouse transfers does not result in a usage.
- Not Applicable
-
This value applies to financial warehouses. You cannot create warehouse transfers between financial warehouses, therefore, usages from financial warehouses do not occur.
- Method of Inventory Update
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Use this field to define the method based on which the administrative warehouse is updated with the inventory levels of the actual warehouse.
Allowed values
- Receipts and Consumptions
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Inventory levels are updated based on completed receipts and consumptions.
- Inventory Balance
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Inventory levels are updated based on a reported inventory balance.
- Receipts, Consumptions and Inv. Balance
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Inventory levels are updated based on completed receipts and consumptions and on a reported inventory balance. The latter is mainly used for reconciliation purposes.
- Inventory Balance as Consumption
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A reported inventory balance is used to calculate the consumptions, because no separate inventory consumption messages are received.
- Receiving Process
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Use this field to define how the completed receipts and consumptions are registered in the administrative warehouse.
Allowed values
- Communication
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Messages such as the ReceiveDelivery message or the InventoryConsumption message are used to manually or automatically update the administrative warehouse with the inventory levels of the actual warehouse.
- Automatic (Delivery Moments)
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Receipts into the administrative warehouse are performed automatically. The automatic receipts are based on one of the following:
- Purchase orders or purchase schedules
- Demand forecast
- Contractual inventory levels
You can only select this option if the terms and conditions type is set to Purchase.
- Automatic (Received is Shipped)
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Receipts into the administrative warehouse are performed automatically. The automatic receipts are based on the shipped quantities of transfer orders. When the shipments of the transfer orders are confirmed, LN creates a receipt based on the transfer order and automatically confirms the receipt. The receipt quantities are equal to the confirmed quantities of the shipments.
You can only select this option if the terms and conditions type is set to Sales.
- Receiving Interval
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If the Receiving Process field is set to Automatic (Delivery Moments), use this field to select a pattern code, which includes the moments on which the receipts are entered and processed.
- Inventory Discrepancies Paid by Business Partner
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If this check box is selected, the business partner is (financially) responsible for negative inventory adjustments resulting from cycle counting, inventory adjustments, and inspections.
- Time-based Ownership Change after Receipt
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If this check box is selected, the goods' ownership changes from the supplier to the customer a fixed period after the goods are received at the customer’s location.
- Period
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The period after which the ownership of the goods must change.
- Unit
- Time-based Ownership Change after last Transaction
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If this check box is selected, the goods' ownership changes from the supplier to the customer a fixed period after no goods receipts or issues are carried out at the customer’s location.
- Period
-
The period after which the ownership of the goods must change.
- Unit