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For some versions of BPCS for some transaction types ITH does not have facility populated, so you have to link warehouse to something, and I suggest IWM.

Muthu seems to identify what's issues, receipts, etc. by certain transaction types, which can be a moving target, so link to ITE to be sure.

If the problem is not knowing how to deal with multiple transactions on each item, then the issue is one of programming technique, such as an RPG loop with SQL cursor.

Al Mac

Why use ITH and ILI.    If you want Transaction detail use ITH, and select
a given Facility or sort by Facility, Location, Transaction type, for
given date range.

Roger Henady




Muthukumara Samy <mksamy_99@xxxxxxxxxxx>
Sent by: bpcs-l-bounces+roger.henady=thorco.com@xxxxxxxxxxxx
11/01/2006 10:08 PM
Please respond to
SSA's BPCS ERP System <bpcs-l@xxxxxxxxxxxx>


To
BPCS-L@xxxxxxxxxxxx
cc

Subject
[BPCS-L] Facility wise Stock







Hi all,    I am new to this mailing list.    I have a query in my mind. I
need to take a report about the closing balance  of the Items belonging to
particular Facility.    I checked with ILI file for the particular item
and can fetch the  opening balance , reciepts, issues and adjusments. Here
in the issues I need to cosolidate the total on the basis of  transaction
type ( I type) , and adjustments (A type) and  issues tp Production(J
transaction)      How can I achieve this? If I link ILI and ITH (based on
Item)  It is giving large number of datas and I am not able to locate  the
Particular transaction.    Can any one help me out in this?    Thanks
Muthu  India


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