Execute Inventory with Cycle-Counting Method and by Quants
Hi Gurus,
I would like to Implement the Inventory by quant on WM.
This is because I would like to Inventory only 1 material per Bin.
I found transaction LICC, but when I try to activate the Document an error message say that the Inventory Document Range (LVS_IVNUM) does not exist.
How can I create this range? Have you got a manual for this implementation?
Another Question: the Inventory count is allready implemented and there is still a range of Inventory Documents created and managed by LI01N, LX26..the Cycle Counting by quants can interferate with the one allready implemented?
Thanks & Regards,
Simone
Hi,
For the LICC issue I had same problem. Direct in production you need to maintain number ranges in LN05 for your warehouse.
Thanks.
Similar Messages
-
Warehouse Management Cycle Counting Method
Dear All
I am new to WM and would like to carry out Physical Inventory in Warehouse.
However if I use transaction like LI01N I have to create a Physical Inventory Document for the entire Bin.I want to create Physical Inventory Document only for few materials and not for the entire Bin.
In that scenario I have to use Cycle Couting method ie LX26 for certain materials however in that case n physical Inventory Doc is created.
Can anybody let me know regarding?
1.Is there any way that I do not use Cycle Counting method and still create Inv Doc not for Bin but for selected materials.
2.If I have to use cycle couting what steps I am missing,I have already set the cycle counting Indicator in material master but still when I execute LX26 and go to list and create Physical Inv Doc the system is not creating any document.
Regardsso when you say you already did the below steps, then it means you added the indicator in the material master and the CC entry is also updated in the transation OMNK. So that's why when you execute the LX26, you see some entries.
In LX26, when you select the item and trying to click the Activate Documents, what does the log message says. It should say either open transfer order exists or bin blocked or anything.
Even you can try LICC to create inventory document by quant, if you have multiple quant in that bin.
2.If I have to use cycle couting what steps I am missing,I have already set the cycle counting Indicator in material master but still when I execute LX26 and go to list and create Physical Inv Doc the system is not creating any document. -
Battery finishes in 2h 20 min maximum. Cycle count 375 and condition is normal. what to do please help????
No i have checked thorougly i dont have any window emulation parallel. i had a problem with my charger some days back that Apple replaced me. but after that i started having battery timing 2h 20 min maximum. the details about the MBP are as:
MacBookPro6,2
Charge Information:
Charge remaining (mAh): 2375
Fully charged: No
Charging: No
Full charge capacity (mAh): 6046
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and (eww) i have read the related article linked http://support.apple.com/kb/TS1473 . though I could not understand the 5th point of this article but i think there is no problem about that.. PLEASE HELP -
Physical inventory using cycle counting
Hi all
Can anyone send me user maual for physical inventory using cycle count on [email protected]PHYSICAL INVENTORY PREPARATION
1.Creating a Physical Inventory Document.
2.Blocking Materials for Posting.
3.Print & Distribute Physical Inventory Document.
PHYSICAL INVENTORY COUNT
1.Counting Stocks
2.Entering the result of count on Physical Inventory document printout
PHYSICAL INVENTORY ANALYSIS
1.Entering the result of Count in the system.
2.Initiating a recount; if necessary.
3.Posting Inventory differences. -
what is the name of that thing that appears before a film, in black and white, with numbers counting backwards and with circle motion ?
Thanks a lot, not only I got what I needed, but also discovered a great site
thanks
fp -
Cycle Counts, import and use
I see that when importing to the oItems destination via DTW, it is possible to bring in Cycle Count info. There is no sample or template CycleCount sheet, so what I know I gleaned just from looking at the mappable fields in DTW.
Can anyone give me some tips about importing and using Cycle Counts? I confess I find updating any destination via DTW to be a real chore, frequently more work that it is worth.
In this instance I already have items and warehouses and prices and quantities on hand. All I would want to do is import Cycle Count fields. So in DTW would this be considered an update (of existing items) or an import (just of cycle counts)? Since I don't want to change anything for the items, warehouses, or prices, what would be the least amount of data I'd have to show for the already ready loaded areas to get the cycle counts in?
TIA.By Cycle Counts If you talking about importing prices and quantities
You need to use DTW template StockTaking template inside folder oStockTaking.
Here you will enter ItemCode WH and Quantity
the Prices will be imported using the ItemPrices template in the oItems folder as an Update with the Item main template.
then you will through the Inventory > Inventory Trans > Initial Quantity Reconcile the Quantities imported
Suda -
Explanation how to use rainflow module with rainflow counting method
Hello, I want to know how to use the Rainflow Classification Module in dasylab 13.0, in particular with the rainflow counting method. I save the result matrix, but I don't understand how to read it. The help is quite useless, because it doesn't explain what there is in the matrix for this method. My target is to obtain a matrix with number of cycles catalogued by mean value and alternative value.
Someone can help me?
thanksHi Davide,
I'm not familiar with DasyLab software, but I found some helpful documentation on NI website.
Try to look @ these KBs:
How to Display a Rainflow Matrix in DASYLab
Additional Information about the Rainflow Algorithms in DASYLab
DASYLab Rainflow Module and Counting Methods
DASYLab Support
Best Regards.
CLA_Cup -
Cycle Count API and Serial Items
We've been using mtl_cceoi_action_pub.import_countrequest to submit our cycle counts, but now have to include serial items.
I cannot find out how to link serial numbers to this procedure so that it can pass. There is a serial_number field in the record passed to the procedure, but how do I deal with quantities greater than 1?
Any ideas?
Many thanks.
Jonathan
Edited by: [email protected] on 16-Dec-2009 02:57You need to pass one serial at a time.
Hope this answers your question. -
Error while executing bts_ConfigureBizTalkLogShipping with SQL Server 2012 and BTS 2013
Hi,
while configuring the DR site for Log shipping (http://msdn.microsoft.com/en-us/library/aa560961(v=bts.10).aspx)
exec bts_ConfigureBizTalkLogShipping @nvcDescription = '<MyLogShippingSolution>',
@nvcMgmtDatabaseName = '<BizTalkServerManagementDatabaseName>',
@nvcMgmtServerName = '<BizTalkServerManagementDatabaseServer>',
@SourceServerName = null, -- null indicates that this destination server restores all databases
@fLinkServers = 1 -- 1 automatically links the server to the management database
Getting errors while trying to execute the stored procedure "bts_ConfigureBizTalkLogShipping".
OLE DB provider "SQLNCLI11" for linked server "(null)" returned message "Login timeout expired".
OLE DB provider "SQLNCLI11" for linked server "(null)" returned message "A network-related or instance-specific error has occurred while establishing a connection to SQL Server. Server is not found or not accessible.
Check if instance name is correct and if SQL Server is configured to allow remote connections. For more information see SQL Server Books Online.".
Msg -1, Level 16, State 1, Line 0
SQL Server Network Interfaces: Error Locating Server/Instance Specified [xFFFFFFFF].
This is very strange because with the same server name (which I am passing in above query) I am able to connect from SQL Server Studio from DR site.
Any help would be much appreciated.
Thanks!
Regards,
Gautam
Thanks! Regards, GautamYou need to check the DTC Connectivity between your DC and DR SQL Instance. The Linked Server requires DTC connectivity. Secondly this activity is better done from the SQL Server in question (the DC server in your case).
You can also manually add the Linked Server. Refer
http://msdn.microsoft.com/en-IN/library/ms188279(v=sql.105).aspx - Linking Servers and
http://msdn.microsoft.com/en-IN/library/ff772782(v=sql.105).aspx - Creating Linked Servers.
After having created the Linked Server(s) you can run the log shipping configuration again BUT using @fLinkServers = 0.
Regards. -
Issue with JSF action method and Popup
All,
I have command Button, which has an action method. And my onclick function opens new popup. Once I close the popup, it has to return some values to the parent page and then my action method has to be executed.
Issue is if I close the popup, nothing is happening in parent page.
In my JavaScript if I return true, popup is opening and my action method is executing. But my expected behavior is after closing popup then only my action has to be executed.
Thanks,
DhanaHi all,
I came back to this today (after almost 2 years)... the current version of facestrace doesn't require a taglib at all: http://code.google.com/p/primefaces/downloads/list
Just drop it in WEB-INF/lib, add *.jsf to the url mappings for the faces servlet. Then whenever you add trace=true to your URL, you get a nice dump of information there.
Best,
John -
Hi,
I've done simply test on 9.2.0.8 EE AIX DB which results I cant explain .
create table t (id number , filler varchar2(1024));
insert into t select rownum r , rpad('*', 1024 ,'*') from dual connect by level <= 1000000;
exec dbms_stats.gather_table_stats(user, 'T');
and here starts strange part for me:
I did noprint for column filler (think its irrelevant)
SQL> select /*+FULL(t) */ * from t where id < 10 and rownum < 11;
ID
1
2
3
4
5
6
7
8
9
9 rows selected.
Execution Plan
0 SELECT STATEMENT Optimizer=RULE (Cost=8708 Card=9 Bytes=9261
1 0 COUNT (STOPKEY)
2 1 TABLE ACCESS (FULL) OF 'T' (Cost=8708 Card=9 Bytes=9261)
Statistics
0 recursive calls
0 db block gets
142977 consistent gets
113244 physical reads
0 redo size
1339 bytes sent via SQL*Net to client
237 bytes received via SQL*Net from client
2 SQL*Net roundtrips to/from client
0 sorts (memory)
0 sorts (disk)
9 rows processed
SQL> select /*+FULL(t) */ * from t where id < 10 and rownum < 10;
ID
1
2
3
4
5
6
7
8
9
9 rows selected.
Execution Plan
0 SELECT STATEMENT Optimizer=RULE (Cost=8708 Card=9 Bytes=9261
1 0 COUNT (STOPKEY)
2 1 TABLE ACCESS (FULL) OF 'T' (Cost=8708 Card=9 Bytes=9261)
Statistics
0 recursive calls
0 db block gets
6 consistent gets
0 physical reads
0 redo size
1339 bytes sent via SQL*Net to client
237 bytes received via SQL*Net from client
2 SQL*Net roundtrips to/from client
0 sorts (memory)
0 sorts (disk)
9 rows processed
here with changed optimizer_mode
SQL> alter session set optimizer_mode=choose;
Session altered.
SQL> select /*+FULL(t) */ * from t where id < 10 and rownum < 10;
ID
1
2
3
4
5
6
7
8
9
9 rows selected.
Execution Plan
0 SELECT STATEMENT Optimizer=CHOOSE (Cost=8708 Card=9 Bytes=92
61)
1 0 COUNT (STOPKEY)
2 1 TABLE ACCESS (FULL) OF 'T' (Cost=8708 Card=9 Bytes=9261)
Statistics
0 recursive calls
0 db block gets
6 consistent gets
0 physical reads
0 redo size
1339 bytes sent via SQL*Net to client
237 bytes received via SQL*Net from client
2 SQL*Net roundtrips to/from client
0 sorts (memory)
0 sorts (disk)
9 rows processed
SQL> select /*+FULL(t) */ * from t where id < 10 and rownum < 11;
ID
1
2
3
4
5
6
7
8
9
9 rows selected.
Execution Plan
0 SELECT STATEMENT Optimizer=CHOOSE (Cost=8708 Card=9 Bytes=92
61)
1 0 COUNT (STOPKEY)
2 1 TABLE ACCESS (FULL) OF 'T' (Cost=8708 Card=9 Bytes=9261)
Statistics
0 recursive calls
0 db block gets
142977 consistent gets
113247 physical reads
0 redo size
1339 bytes sent via SQL*Net to client
237 bytes received via SQL*Net from client
2 SQL*Net roundtrips to/from client
0 sorts (memory)
0 sorts (disk)
9 rows processedPlease check consistent gets value . Same number of rows and plan but resource utilization much differs.
Regards.
Greg
Edited by: user10388717 on Feb 5, 2010 5:44 AMHi,
I do not see any anomaly or problem.
You have two different query
select /*+FULL(t) */ * from t where id < 10 and rownum < 10;
select /*+FULL(t) */ * from t where id < 10 and rownum < 11;According to the inserted value, all the numbers are unique and are from 1 to 1000000.
Now when you say id<10, it would get only 9 records in your case and Oracle has stored the id < 10 at the same place.
So when you do id<10 and rownum<10, it get 9 values in 6 consistent gets and since both the condition is fullfilled it stops the scanning and return you the value. It does not scan to the HMW of the table.
But when you do id < 10 and rownum < 11, it would get 9 values in 6 consistent gets but still the query is not completed and hence it scan to hmw of the table and hence you are getting high consistent gets.
Regards
Anurag -
Take this:
class test
static int i=j;
static int j=10;
this will give illegal forward reference ....
but this will compile successfully ..
class test
static int i=test1();
static test1()
return 20;
plz assume we have main method in both cases ..
java would be loading all static members first and would be assigning default values .. and then will be running all the initializers from to bottom ..
Why second case is a compile success and not first .. as in second also test1 method is declared after its usage ..
Plz help.
Thanks
Abhishek RoshanWhy second case is a compile success and not first .. as in second also test1 method is declared after its usage ..
Because the implementors of Java intentionally chose to do it that way.
There are TWO stages to the process: preparation (which occurs first) and initialization.
See the Java Language Spec section 12.4.1 'When Initialization Occurs
The intent is that a class or interface type has a set of initializers that put it in a consistent state, and that this state is the first state that is observed by other classes. The static initializers and class variable initializers are executed in textual order, and may not refer to class variables declared in the class whose declarations appear textually after the use, even though these class variables are in scope (§8.3.2.3). This restriction is designed to detect, at compile time, most circular or otherwise malformed initializations.
Note the clause beginning 'may not refer to class variables'. And the authors give the reason for that restriction in the last sentence: detect circular initializations.
Then if you check that referenced section 8.3.2.3 you will find this
http://docs.oracle.com/javase/specs/jls/se7/html/jls-8.html#jls-8.3.2.3
8.3.2.3. Restrictions on the use of Fields during Initialization
The declaration of a member needs to appear textually before it is used only if the member is an instance (respectively static) field of a class or interface C and all of the following conditions hold:
The usage occurs in an instance (respectively static) variable initializer of C or in an instance (respectively static) initializer of C.
The usage is not on the left hand side of an assignment.
The usage is via a simple name.
C is the innermost class or interface enclosing the usage.
When a method is used (your example 2) no circular initialization can occur because methods are not 'initialized'. -
Cycle count and inventory document generation
hi.
Currrent Scenario : Cycle count has been configured for Quarterly cycle count for 20 materials.
Float period has been set for 5 days.
Procedure : Customer wants to do inventroy count for the 20 materials at the rate of one material per day.
Question : 20 Materials falling under "C" quarterly cycle count show up for Physical inventory.
Can the customer create an inventory document for <b>inventory count each day for each material</b> or will they have to create 20 inventory documents for count at one go since the float period is set for 5days.
Will the float period indicated play a part if the physical inventory is planned for each material on separate days.
Or if an physical inventory has been planned for the quarterly managed material, all material in that category say "C" would anyway show up during the quarterly inventory cycle count period.And the inventory count can be done for each material on seperate days.
Thankshi Arif.,
Earlier situation : Cycle count procedure was only A.
Present situation : Cycle count procedure is now ABCD .
But only C.c indicator A is still active for all material. We have not
changed the Cc indicators for any material.
Transported to production on Friday.
My question is :
On monday ,when the batch program was executed for printing of inventory
documents, Why does it generate a whole lot inventory documents for
Materials which have not been inventored even when the C.c indicators
remain A for all the Materials.We have not even in-corporated the
Quarterly cycle count indicators for the few selected materials.
Should the system:
1. Print Inventory documents only for the current period or
2. Is the system behaving properly due to the change in Cycle count?
Only the Cycle count procedure has been changed to 4 times in a fiscal year.
Do review the information and update me. -
Hi
We need to implement inventory cycle count report . Is there a standard business content data source for this ?
Thanks and Regards
ArunSorry I never responded. It's really just a matter of what you need to report on. ISEG has all the basic information you need like plant, material, sloc, etc... so the other tables invovled is really a case by case type of thing. I can't think of much else you would really need for generic cycle count reporting.
Also, the previous post is a good method depending on your needs. If showing difference postings and whatnot is suitable, then go with the movement type. But if you need to dig deeper into it by showing system/counted quantities as well as the difference, then the custom extractor would be the way to go. For me, I did inventory accuracy/cycle counting type of reporting that needed to consider the actual quantities, as a difference of 2 units on an inventory of 100,000 units is a lot different that 2 units difference on a balance of 100 units. But that was just my case is all.
Hope this helps.
Thanks -
Inventory - Cycle count history
Hi,
I wanted to know is there a form/report, which can show the details of the historical cycle count Runs?
i.e. if we schedule to the cycle count eg. every week, is it possible to see what all items are counted 3weeks back run?
Rgds,
-KamalSorry I never responded. It's really just a matter of what you need to report on. ISEG has all the basic information you need like plant, material, sloc, etc... so the other tables invovled is really a case by case type of thing. I can't think of much else you would really need for generic cycle count reporting.
Also, the previous post is a good method depending on your needs. If showing difference postings and whatnot is suitable, then go with the movement type. But if you need to dig deeper into it by showing system/counted quantities as well as the difference, then the custom extractor would be the way to go. For me, I did inventory accuracy/cycle counting type of reporting that needed to consider the actual quantities, as a difference of 2 units on an inventory of 100,000 units is a lot different that 2 units difference on a balance of 100 units. But that was just my case is all.
Hope this helps.
Thanks
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