Batch determination goes wrong when creating TO for delivery
Hello gurus, I have looked around to find a solution to why the system picks the wrong batch. We have a material that is batch managed and condition managed, so a B batch ends up in unrestricted use, and a R batch ends up in Restricted Use. The ATP check is set up so it only will see the unrestricted batches. And when I look in the delivery and checks the availability there it says I have 9 psc og B batch availible. This is correct, but when I create the following TO, it picks a R batch, probably because this is the oldest quant. How can i make this work? Is there any way to trigger ATP check at the creation of TO in transaction LT03?
in advance thanks
Regards
Ivar
Hi,
Ok, there are a couple of things you can do. First go to your delivery, go to batch split and then click on batch determination and click on either strategy analysis, log, selection criteria or strategy info. Do your analysis there to see what selection class etc is being taken into consideration. You normally put in the selection class, a characteristic which looks at the status of a certain batch and excludes the restricted batch from the determination process. The name of the characteristic is LOBM_ZUSTD (status of batch).
You can also setup batch determination in WM but you will face the same issue there. However, you can switch whether restricted batch can be moved through WM for certain mvt's.
Regarding the ATP, check the availability check control (you also see that through the batch split and then availability and scope of check to see whether restricted is included or not).
MdZ
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[ Name]
Application Error
EventID
1000
[ Qualifiers]
0
Level
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100
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0x80000000000000
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2014-08-31T19:36:04.000000000Z
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244366
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Computer
Ordi-Denis
Security
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503fdd1d
MSACM32.dll
6.1.7600.16385
4a5bda4e
c0000005
00004d91
1634
01cfc552c927dce5
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