Inventory Status of Bin not correct = Planned after counts (LAGP-IVIVO)

Dear Warehousers,
We are in an IS-Retail environment, release 470,
We create our inventory count documents with LX16
When completing our counting process with clearing the documents with
LI20 and LI21 the following status issue has occurred.
All the bins of one cleared document display the following status in
LS03n and LS03: L (cleared) but at the same time the yellow triangle
signals that the status is Inventory Planned (LAGP-IVIVO). This status
also shows at LX25
We have not encountered this issue before. New putaway is possible, but new are counts not, even though there is no document active or planned.
Has anyone had this issue?

Hi
It sounds like ypou are using continous inventory and this process expects you to count all bins before you count any bins again.
However in LX16 on the front screen there is a that says 'only bins not yet counted' Take this tick off as you are creating the count document and it wil let you count whatever you want when you want.
I hope that thus helps
Frenchy

Similar Messages

  • Korean input keyboard not correct typing after ios7 upgrade at iPhone and iPad.

    korean input keyboard not correct typing at page after ios7 upgrade at my iPhone and iPad.

    Report this to Apple via
    http://www.apple.com/feedback

  • Monitor does not correctly display after waking up from suspend

    Hello,
    Awesome WM. I use systemctl suspend to put my computer to sleep. It works fine, however, when I press the power button on my system unit, the computer wakes up but the image is distorted completely so I cannot see what is where... Quiting Awesome WM (win + shift + q, if I remember correctly) and logging back helps, but is not really convenient. I have tried to find a solution for the problem and, as you most likely surmised, with no success.

    http://en.wikipedia.org/wiki/Compositin … w_managers
    https://wiki.archlinux.org/index.php/Co … #Composite
    Have you checked your logs for what is happening after waking up?
    Last edited by emeres (2013-10-13 19:35:50)

  • Error: "... is not a table ..." XML not correctly interpreted after XSL-transformation. Table row quantity problem.

    Hey guys, this is one of my xml-elements:
    Jaspreet Sohi 12 18 Juliane Lenz 11 17 Sophie Charlotte Stender 10 15 Rosbeh Hamidzadeh Khayyat 12 17 Lion Stoldt 12 17 Mats Lucas Meincke 6 8 Bero Luke Vincent Ernst 6 8 Cedric Roth 6 8 Soner Cantay 6 8 The following XSL Transformation I use once for transforming all "m" tags and once in order to transform all "j" tags. Please imagine the CSL-code below to be duplicated exactly. Only the "jungs"-table-Tag is replaced by "mädchen" and all underscores _j are replace by _m. As well all "select="j[@..." parts are replaced by "select="m[@...". 1 2 3 The code is very easygoing I think and not difficult to understand. As I said, I use it twice - for both transformations. The very, extremely weird thing, my problem, is that one transformation works perfectly in InDesign and a table is created for all "kategorie"-tags (all is set within a for-each loop). But the second script does not work! I simply do not get this I can't understand it. I've tried more than anything. InDesign sais (in German, so translated based on assumption) "jungs is an invalid table element or is displayed in wrong order". The second strange thing is that I can replace my "aid:trows" attribute by any number, e.g. "10" and immediately the script works fine (as there are never more than 6 "j" tags in my XML so that never the table has more than 6 rows"). But it does not want to work correctly with the actual number, my variable "rows_j". These are my variables: They are all defined before the tables for m and j are created. So finally, why (the heck) is one table created and interpreted perfectly whereas the second - immediately following the first in the XSL.script as an EXACT copy of the first - results in an error? As i've already said, I've tried really everything. For example the script works also when one of the parts "" is randomly deleted from the script. Removing one of these parts directly makes the script working. Just one of my attempts to understand the thing but this has only shown that none of these parts "cell to end-for-each" includes an error. I'm really desperate and looking forward to being rescued by one of you geniuses :)

    Hah, No worries. The forum software is, well, different.
    What would be better, though, would be a sample ID file, any XSLT/XLT files you use, and a bit of data exactly as you have it (pre-transform state). ZIP it up, upload to say dropbox.com and feel free to send me a private message for the download link.
    Too many times there is something different between samples pasted into a post and the real thing that it is sometimes less useful time-wise. I'll keep it private, of course. Then we can communicate via PMs or email until we can (hopefully) arrive together at a solution, then post what that solution is in the forum to benefit others.
    Thank you, Mike

  • PT880 Bios Setting Not Correct After Bios Flash

    Hey guys. Flashed bios from 1.1 to beta 1.5 and am now experiencing this problem. I get the message Bios settings not correct. After loading defaults all I get is my monitor going in to "sleep" mode. The only way to get PC to post is to clear the CMOS jumper. I find it odd that my PC booted to Windows fine with 1.1 and now this problem. The reason I flashed to beta is because I have a 2.4a prescott and heard that the beta is more compatible. Any ideas?

    Quote
    Originally posted by rsix
    I am running at 3.06 right now. Dont ask me what I did.. it just started accepting my OC changes in bios. The only thing I did was install core center and play a bit. After finding that it sucked I uninstalled it. Went into bios and upped my FSB in 5mhz increments. I also loaded optimized defaults first disabling the dynamic OC and the usual settings and changed vcore to 1.425. I still cant get past 3.06, when I try higher, the PC restarts when trying to load windows. Ive tried bumping vcore in increments to 1.5, Northbridge up two notches, AGP at 1.7, RAM at 1.75 all with no luck. I dont want to get too gready but as my temps idle at 40C I feel I have more room to work with. I am going to try and manually enter my mem timings if I can find them and see what happens.
    Another thing I've found. When you change the FSB in the bios and it does not boot, wait a while and see what happens. For me about a minute later it finally rebooted and posted but the FSB setting went back to default. You may not have to clear cmos if you wait long enough.
    Good point about letting it sit----and then it will finally reboot after about a minute----back to FSB 200---this worked for me a couple of times.
    In Bios-----one of the tricks I did was to set the DDR to 466 and 500 and then see how that affected other bios settings----without going ahead and posting.
    It showed me that it jumped up my voltages on AGP, VDIMM and Northbridge (and I think soutbridge as well)
    Anyway----went back into bios and reset the DDR to 400----1:1----then raised all those voltages---then set my FSB up to about 230.  That was really about the highest I could get with any stability.  And that just doesn't cut it with a 2.4c which I've known to easily overclock to around 3.2 on an 875 or 865 board.
    That's why I think a 3.0c is a good chip for this VERY inexpensive board.   At 230 FSB You are doing 3.45 Mghtz which ain't too shappy
    Best timings for me were Cas 2.5 4,4,8 and changing the Vlink settings really did nothing that I could tell for performance or stability.
    Good Luck----let's us know how it turns out-----John

  • Cumulative Balances in PCA Balance Sheet cube are not correct.

    Hi
    Could you please help me in sorting out this Issue.
    Cumulative Balances in PCA Balance Sheet cube are not correct.
    After doing a reconciliation my conclusions are:
    Opening balance for 2005 (fiscal period 009.2005) is not in BW
    Opening balance for 2006 (fiscal period 000.2006) is not in BW
    Opening balance for 2008 (fiscal period 000.2008) is not in BW
    Opening balance for 2009 (fiscal period 000.2009) is not in BW.
    With the exception of fiscal year 2007(opening balance is in BW u2013 000.2007) the cumulative balance resets itself at the start of each fiscal year. The attached spreadsheet has an example of the data in BW and screen dumps from R3.
    Please help me how to find Opening balance in BW for PCA
    Thanks
    Bharti

    you need to derive your begining balance based on the fiscal year in your selection. It will be minus 1 year and period 12 for that year.
    pts appreciated.

  • Physical Inventory Status Flag Not Reset after Year End Inventory Procedure

    Hi,
    We are just done with the Year End Inventory Procedures, and to my surprise, a lot of Storage Bins are having their Physical Inventory status flag as ACTIVE, which they should not have.
    An example bin has incorrect status-u201Ccountedu201D in the associated inventory record number . LINV status is L-cleared. LINK status is Z-counted, LINP status is Z-counted and physical inventory flag is ON in table LAGP, but status must be L-cleared and physical inventory flag should be OFF (or blank) in table LAGP.
    Our users did not use LI20 to clear the empty bins or bins had no difference to post (meaning book qty & count qty are the same).
    I already tried the Program RLREOLPQ and OSS Note 824904, but no its of no use in our Case.
    Any guess/hint for the problem?

    I solved this with thehelp of a Zprogram writeen wrt the OSS note mentioned above in the question.

  • Inventory record is deleted but quant is in 'Not counted' status within Bin

    Hi Gurus,
    I have a problem which is related to Inventory count in warehouse. The Bins are showing certain Inventory number is as not counted ( against the quant in Inventory tab of Bin) . But when I go to the Inventory record, I find it's deleted. For an ideal situation when an Inventory record is deleted, the bin should update the quant as Cancelled aginst the Inventory number, in the Invent. tab on Bin. But instead this is updated as 'Not counted'.
    This is causing me a problem regarding any transfer transfer of those stocks since in the LQUA table the Inventory Active is checked.
    Can you please help me.
    Thanks in advance
    Amit

    hi pavan,
    whats happening is just to give u an idea about my tables, i have
    SELECT prod_code, prod_name, prod_qty_in_hand from product_MASTER
    PROD_C PROD_NAME                      PROD_QTY_IN_HAND
    2002   PROD2                                 10.000
    2003   PROD3                         20.000
    2004   PROD4                            30.000i have a master-detail Form for PURCHASE_ORDER_HEADER & PURCHASE_ORDER_DETAIL
    (with Delete Record Behavior property set as Cascading),
    for example lets say if i have record like
    SQL> SELECT POH_CODE,POH_NO, POH_PARTY_CODE FROM purchase_ORDER_HEADER;
    POH_CO        POH_NO POH_PA
    PUR            1.000 1001
    SQL> SELECT POD_POH_CODE,POD_POH_NO,POD_PROD_CODE,POD_QTY FROM purchase_ORDER_DETAIL;
    POD_PO    POD_POH_NO POD_PR       POD_QTY
    PUR            1.000 2002          5.000
    PUR            1.000 2003          8.000
    PUR            1.000 2004          10.000whats happening is, on form when i am querying record, lets say i want to delete the PO_header record no.1,
    it should obviously delete the 3 records of PO_Detail (due to cascade property), and also, reduce the prod_qty_in_hand field for the 3 items 2002,2003 & 2004 (deleted from the PO_detail above), from the PRODUCT_MASTER Table, to 5,12 & 20 respectively.
    i am able to update the prod_qty_in_hand , if after query, i go in the detail section & delete a particular record, but can't do it at header level with given the pre-delete code that i posted in my first post.
    hope i am

  • [PI 7.11 SP3] PI components not correctly registering themselves after AS restart

    Hi Experts,
    We have planned a system backup shutdown and restart every night for our PI environment.
    In a random manner, some PI components as XI AF or Integration Directory are not correctly registered to SLD after that restart : for example, Integration Directory registers but it is not assigned to a PI domain.
    It is good to mention that PI instance is actually using its own SLD (local SLD) for registration.
    When the problem occurs, I follow sap note 1117249 to manually register PI components within SLD and this solves the issue.
    But the definitive solution will be to avoid incomplete SLD registration at restart … But I have not yet found any sap note for that kind of solution.
    Il someone can help J
    Thanks a lot
    Nadir

    Hey Caio,
    Thanks for the response but it doesn't actually answer my question.  But to that point, for a "basic" PI post install, which of the NWA config tasks would you run other than the "initial config" ?  And would you run them BEFORE you updated the SLD content (cimsap/CRDelta) ?
    NW: PI - AS ABAP (Basic Configuration for Idoc, Proxy): Maintain
    PI Adapter Engine in JPR Mode
    PI Demo Client
    PI Full Qualified Host Name
    PI Self Test for NetWeaver
    PI SLD Self Registration
    Specifically, I did the SAPINST - ABAP/JAVA patches - Client copy - and THEN the initial config wizard (Setup a new local SLD, ).  Also, during the initial config, I clicked the box marked "This SLD will be used as a name server for development" and my PI server hostname was already in the box  marked "object server name".  This config took about 30 minutes.  I didn't see any errors or warnings.  although I didn't view the log.  I did go into Java JEE services and Filter for Services with name "XPI".  All were green.
    THEN I tried to update the SLD content.
    any thoughts appreciated.
    NICK

  • Pages is not saving document correctly.  After saving the changes either do not appear or you can not open the file. The error is "not a valid format"  I am in Pages '09 4.1 (923).  I also use Parallels.  Anyone having similar issues?

    Pages is not saving document correctly.  After saving the changes either do not appear or you can not open the file. The error is "not a valid format"  I am in Pages '09 4.1 (923).  I also use Parallels.  Anyone having similar issues?

    I'm not sure that Lion AutoSave feature apply to network servers.
    I'm just sure that the Versions feature doesn't.
    Yvan KOENIG (VALLAURIS, France) samedi 21 janvier 2012
    iMac 21”5, i7, 2.8 GHz, 12 Gbytes, 1 Tbytes, mac OS X 10.6.8 and 10.7.2
    My Box account  is : http://www.box.com/s/00qnssoyeq2xvc22ra4k
    My iDisk is : http://public.me.com/koenigyvan

  • I've installed itunes twice. It worked the first time but after I restarted my computer it kept giving me this message: Itunes was not correctly installed. Please reinstall itunes. Error 7 (Windows error 127). What's wrong?

    I've installed itunes twice. It worked the first time but after I restarted my computer it kept giving me this message: Itunes was not correctly installed. Please reinstall itunes. Error 7 (Windows error 127). What's wrong?

    See the second box in Troubleshooting issues with iTunes for Windows updates.
    tt2

  • Previous Meter Reads and Usage are not  correct after meter Proration

    It seems that during proration there are two meter reading available the one with the Meter Reading type as 03 ( Automatic Estimation ) and other is Meter Reading type 01 - MR By employee that is being  retrieved. The 03 reading type seems to be the reading after the proration and the o1 reading is the reading done before the proration . The reads are coming out on our invoices incorrectly. Usually there will only be one Meter reading  to be picked up. but it seems do proration it splits meter into 2 entries.  The entry  with with metering type 01 has the correct previous  and current meter reads but incorrect usage. The entry with meter read 03 has the incorrect previous meter read and correct current meter read but incorrect usage. Our print work bench generated fiction is  calling SU_DB_ERCHZ_SELECT_BILL_NEW  to retrieve the values but the values that it retrieves are not correct., The second records is being put on the invoice. The form that exist in the  SU_DB_ERCHZ_SELECT_BILL_NEW  is called  db_erchz_select_join and  is used to retrieved the usage and meter reads.. This information is then passed  to out user exit.
    The previous meter read  should be 5,073,998     and the usage should be 7500   
    Service       Meter No.       Previous Read       Current Read        Usage
    Water            750009               5,092,748              5,148,998            56250

    Try resetting the PMU…
    http://docs.info.apple.com/article.html?artnum=14449
    … and then subsequently calibrating your battery…
    http://docs.info.apple.com/article.html?artnum=86284

  • My itunes is not downloading correctly even after i uninstalled all software of apple keeps saying the registry is missing to import and burn cds??? it is not on a mac computer

    my itunes is not downloading correctly even after i uninstalled all software of apple keeps saying the registry is missing to import and burn cds??? it is not on a mac computer 

    I'd start with the following document, with one modification. At step 12 after typing GEARAspiWDM press the Enter/Return key once prior to clicking OK. (Pressing Return adds a carriage return in the field and is important.)
    iTunes for Windows: "Registry settings" warning when opening iTunes

  • The onhand quantity at sub inventory level it is not showing correctly

    For an item the org level quantityt is showing correctly but at sub inventory level it is not showing correctly.
    1)For an item org level the avilablty as below :
                   On Hand / Avail to Reserve / Avail to Transact are
         oRG level          7     7          7
    STAGING           7     7          7
         STORES          0     0          0     
    2) Created an Sales order with quantity 5 ,then STAGING decreased by 5 which is correct.
              the avilablty as below :
                   On Hand / Avail to Reserve / Avail to Transact are
         oRG level          7     7          7
    STAGING           2     2          2
         STORES          0     0          0     
    3) Shipping Transaction not completed,Received 4 into Stores – Staging avail increased by 6 and even STORES also increased by 4 . Here we do not understand why STAGING increased to 6.
         the avilablty as below :
                   On Hand / Avail to Reserve / Avail to Transact are
         oRG level          7     7          7
    STAGING           6     6          6
         STORES          4     4          4     
    4)Ship Transaction Completed sucessfully now the values are showing correctly.
         The avilablty as below :
                   On Hand / Avail to Reserve / Avail to Transact are
         oRG level          7     7          7
    STAGING           2     2          2
         STORES          4     4          4

    Hi Patel,
    You can create a confirmations using CO11N for sub-operations, but you can only confirm hours, not yield quantity. The yield quantity requried to be confirmed in the operation. You can partially or fully confirm sub-operations.
    Enter the order number, sub -operation number all the related data will be displayed execpt greyed quantity fields.
    Can you see the "sub-operation" entry field below "oper./activity" in CO11N ?
    Thanks & Regards,
    Ramagiri

  • Inventory in storage bins should not be allowed to go negative

    Hi
    Inventory in storage bins should not be allowed to go negative?
    Regards
    Vivek

    you can uncheck the "Allow negative stock" for the combination of warehouse and the storage type.
    Path is-
    SPRO > Logistics execution > Warehouse management > Stock removal startegies.
    Then select your strategy.
    Check out if it helps.
    Regards,
    nilesh

Maybe you are looking for