Table of contents
Suppliers use inventory balances to communicate about available and upcoming inventory levels with their customers.
Create and submit an inventory balances
Perform this task to create and submit new inventory balances.
- Select a [MPL Network] from the drop-down in the header.
- Select a (e.g. your entire company or a Link to a specific Partner or internal location) in the header.
- Select Partners must have the correct roles assigned by using the owner's instance of Multienterprise Information Network Tower. from the left menu.
- Select .
- Select the New button.
- Enter the inventory balance number in the field.
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Select the Save button.
The screen refreshes with the saved inventory balance in the draft state.
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Select the Edit button.
- In the Transaction Information section, select Submitted from the drop drown.
- In the Inventory Balance Information section fill in the following fields:
This field auto populates the value entered New Inventory Balance screen. field – . The unique identifier for the inventory balance number.- field – The date when the physical inventory count is conducted in the warehouse. Fill this field only when the effective date is same for all inventory balances.
- field – The start date of the reporting period.
- field – The end date of the reporting period.
- field – A brief description stating the purpose of the transaction.
- In the Reporter and Client section, fill in the following fields under Reporter:
The remaining Reporter fields are auto populated with the values from the company or location's master data entry. If the name of the company or company location is not present in the Owner's master data, the company name or company location must be entered manually.
type-ahead field – The name of the company or company location sending the inventory balance. This field pulls from the Owner's company and location master data.- drop-down – The two-letter country code with country name for this location.
- field – The state or region for this location.
- drop-down – The identifier type used for this company or location.
- field – The value associated with the identifier type.
- In the Reporter and Client section, fill in the following fields under Client group:
- type-ahead field – . The name of the customer receiving the inventory balances. This field pulls from the Owner's company and location master data. The remaining Client fields are auto populated with the values from the company or location's master data entry. If the name of the customer is not present in the Owners master data, the customer name must be entered manually.
- drop-down – The identifier type used for this company or location.
- field – The value associated with the identifier type.
- In the Line Items section:
- Select the Addicon. At least one line item is required to submit a purchase order.
- In the New Line Items panel, fill in the following fields under Item Information:
- field – The number to identify the line item by (e.g. 50).
The , and fields are auto populated with the values from the Owner's product master data entry for the product. If the product is not present in the Owner's product master data then the product name must be entered manually. field – The name of the product. If the user enters an item code instead, the field automatically displays the corresponding item name.- field – The product code type (e.g. IN-Product Code). If the item code type is not present in the Owner's product master data then the item code type must be entered manually.
- field – The product code. If the item code number is not present in the Owner's product master data then the item code value must be entered manually.
- field – A brief description of the product. If the description is not present in the Owners product master data then the description must be entered manually.
- field - The production material state (e.g. FINISHEDGOODS).
- field – The state of the line item selected or provided (e.g. ONHAND).
- field – The quantity of item selected or provided.
- drop-down – The unit in which the line item is measured.
- field - The lot number of the line number.
- field – The sub lot number of line items.
- field - The expiry date of the line item.
- drop-down – The name of the storage location.
- drop-down – The type of reporting. Fill this field only if the company information is added in the Reporter Group section.
- field - The value of the reporting type. Fill this field only if the company information is added in the Reporter Group section.
- field- The date when the physical inventory count is conducted in the warehouse. Fill this field only when all the inventory balances have different effective date. In that case, the header effective date should not be filled.
Select
.The new line item is added to the inventory balance.
- In the Notes section, enter any additional comments or instructions.
- To submit the inventory balance:To save the inventory balance in a Draft state and finish it later, ensure the button is not selected and then select the Save button in the draft state.
Select the
button at the top of the screen.The submit status indicator circle is filled in with green to indicate the desired action upon selecting save.
Select the Save button.
The inventory balance is submitted.
Tips
- In the Line Items section, do one of the following:
- Select the Edit icon, to edit the details of an individual line item.
- Select the Deleteicon, to remove an individual line item.
- In the Notes section, do one of the following:
- Select the Addicon, to add comments or instructions.
- Select the Deleteicon, to remove comments or instructions.
Complete and submit a saved inventory balance in the draft state.
- Select a [MPL Network] from the drop-down in the header.
- Select a (e.g. your entire company or a Link to a specific Partner or internal location) in the header.
- Select Partners must have the correct roles assigned by using the owner's instance of Multienterprise Information Network Tower. from the left menu.
- Select .
- Select the Filter button to find the inventory balance in Draft state..
- Select the link in the results table.
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Select the Edit button.
- In the Transaction Information section, select Submitted from the drop drown.
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Select the
button at the top of the screen.The submit status indicator circle is filled in with green to indicate the desired action upon selecting save.
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Select the Save button.
The inventory balance is submitted.
Tips
- To edit the details of an individual line item in the inventory balance, select the Edit icon for the line item, in the Line Item section.
- To delete a inventory balance in draft state, select the inventory balance row and then select the Deleteicon on the top of the screen.
A deleted transaction cannot be retrieved.
Search and view inventory balances
Search for inventory balances sent or received by suppliers to view and edit page. Viewing the details of a inventory balance enables suppliers to quickly access order information (e.g. the quantity for each line item in an order) in TraceLink without having to search through the actual B2B message.
- Select a [MPL Network] from the drop-down in the header.
- Select a (e.g. your entire company or a Link to a specific Partner or internal location) in the header.
- Select Partners must have the correct roles assigned by using the owner's instance of Multienterprise Information Network Tower. from the left menu.
- Select .
- Select the Filter button.
- In the Filters panel, fill in one or more of the following fields to filter the results:
inventory balance:
drop-down – The state of the- Draft – The transaction is in the draft state.
- Submit – The transaction has been created.
- Processing – The application is getting ready to handle incoming transactions by doing some initial tasks, such as copying the files it receives.
- Processed – The application changes the standard information into a format that is easy to use and specific to your transaction.
- Preparing to Send – The application is getting ready to send out a transaction and is doing some initial tasks, like copying the necessary information for the process.
- Sending –The application sends out business transactions to the buyer or supplier.
- Sent – The transaction is successfully completed and shared with the receiving party.
If the name of the customer is not present in the Owners master data then the customer's name must be entered manually type-ahead – The name of the customer the inventory balance was sent to.- inventory balance was last updated:
- Today – The transaction was modified within the last few hours.
- Yesterday – The transaction was updated within the past 24 hours.
- Last Week – The transaction was modified in the last 7 days.
- Last Month – The transaction was modified in the last 30 days.
- Last 3 Months – The transaction was modified in the last 90 days.
- Last 6 Months – The transaction was modified in the last 180 days.
- Custom Range – Select a specific period of time that the transaction was modified in from the calendar.
field – The period of time in which the
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Select
.A list of inventory balance displays based on the filter results.
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Select the link for the inventory balance from the results table.
The View Inventory Balances screen displays.
- View all the fields in the Transaction Information, Inventory Balance Information, Reporter and Client, Line Items, and Notes sections.
Tips
- To view the details of an individual line item in the inventory balance, select the Viewicon for the line item in the Line Items section on the Inventory Balances Details screen.
Resubmit inventory balances
Perform this task if the user needs to resend a inventory balance.
- Select a [MPL Network] from the drop-down in the header.
- Select a (e.g. your entire company or a Link to a specific Partner or internal location) in the header.
- Select Partners must have the correct roles assigned by using the owner's instance of Multienterprise Information Network Tower. from the left menu.
- Select .
- SelectSent state. row in
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Select the Edit button.
The state of the inventory balance is automatically moved to Sending state. -
Select the
button at the top of the screen.The submit status indicator circle is filled in with green to indicate the desired action upon selecting save.
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Select the Save button.
The advance shipment notice is submitted.
The statues of the inventory balance moves to Sent state.