Perform Reconciliation
Explanation
When a new customer schedule arrives, it is considered an override of previous schedule
information for the same time period. The reconciliation process is designed to bring
newly arrived schedules up to date, based on an alignment of the customer's and the
company's delivery records.
The reconciliation process attempts to automatically align the schedules so 
that no delivery quantities are skipped or duplicated. The process recognizes 
the latest receipt recorded by the customer and the last delivery recorded for 
the order, then consumes the differences in the schedule to align the necessary 
delivery quantities.
Perform 
reconciliation by using one of the following alternatives:
  - Directly reconcile a specific customer schedule from 
  the Customer Schedule  or the Customer Schedules window.
- Directly reconcile all customer schedules
    that meet the defined selection criteria in the 
	Reconcile Customer Schedule 
  dialog box.
- Create a schedule
    to perform a reconciliation on a regular basis of all the customer schedules that meet
    the defined selection criteria in the New 
	Database Task Schedule. Default settings in the 
	Reconcile
    Customer Schedule dialog box can be used by selecting the Default
	feature. Default settings are derived from the Database Tasks 
	window set by the administrator.
- Manually update the necessary information, and then 
  directly reconcile a specific customer schedule from the 
	Manually 
  Reconcile Customer Schedule window. 
When 
setting up the reconciliation conditions, you can select one of the following 
options:
  - No Reconcile. The reconciliation process is not used.
- Use Delivery Note: The system erases the quantities that are sent after the last delivery note indicated 
  by the customer. However, if you chose to use the backorder feature together 
  with the reconciliation process, it is possible to add schedule lines that are 
  due before the validity period of the schedule. All quantities with a due date 
  before the start date of the schedule are considered as backorder lines. When 
  running the reconcile process and you have indicated that you want to match 
  the backorder quantity for the schedule, the system will check whether the back 
  order quantity matches the previously generated customer order lines.
- Use Cumulative Quantity: Only 
  cumulative records are compared. Delivery notes are not taken into 
  consideration.
- Use Delivery Note and Cumulative Quantity: Both delivery notes and
    cumulative records are matched.
Note: It is not possible to perform a reconciliation if the reconciler is 
blocked for use.
Prerequisites
  - A customer schedule with schedule lines must have been entered.
-  The user performing the reconciliation process must
    have been linked to the reconciler ID entered on the customer schedule agreement. 
System Effects
  - If a previous schedule plan or call-off is overlapped by this new schedule, the
previous data is overruled by the new schedule. This means that, if the first schedule
indicated a schedule line on the 3rd of December and the second schedule starts at the 1st
of December (not indicating any schedule line until the 5th of December), the system
automatically assumes that the schedule line for the 3rd of December should be skipped. If
both schedules have lines on the same date, they are considered and treated as identical
lines.
- If you have scheduled the task as a background job
    in the 
	Reconcile Customer Schedule dialog
    box, the task will be
    automatically performed based on the specified selection criteria. 
Window
 Customer Schedule
Reconcile Customer Schedule
Manually Reconcile Customer
Schedule
Customer Schedules
Related Window Descriptions
 Customer Schedule
 Reconcile Customer
Schedule
Manually Reconcile Customer Schedule
Customer Schedules 
Procedure
To directly reconcile a specific customer schedule from the Customer Schedule 
window: 
  - Query for the schedule's document number.
- Study the delivery note data in
    the 
	Reconciliation Info tab. If the last delivery received by
    the customer does not correspond to the last delivery shipped by the
    company, enter the delivery note number from the customer in the Last Receipt group box.
- On the Operations menu, click Reconcile.
Note:
If you have chosen to reconcile cumulative quantities, delivery notes are not taken
into account.
To directly 
reconcile all the customer schedules that meet the defined selection criteria in the 
Reconcile
Customer Schedule 
dialog box:
  - Open the 
	Reconcile Customer Schedule
    dialog box. 
- If you want to reconcile all the existing schedules, leave all
    the fields blank in
    the  Parameters group box. 
-  If you want to use the customer number, ship address
    number, customer part number, agreement identification, schedule type, schedule document
    number, or schedule number
    as selection criteria, enter the appropriate values in the respective
    fields. Enter the values or click List 
    to select one from the List of Values.
- Click OK to complete the process.
Note: Click Default if you want to use
the default settings. 
Create 
a schedule that on a regular basis reconciles all the customer schedules that meet
the defined selection criteria in the 
Reconcile Customer Schedule 
dialog box:
  - Click 
	Schedule to open the New Database Task Schedule window. 
	Set the scheduling parameters as desired and save. Scheduled tasks can be 
	seen in Scheduled Database Tasks window
Note:
If you have chosen to reconcile cumulative quantities, delivery notes are not
taken into account.
Manually 
update the necessary information, and then directly reconcile a specific customer 
schedule from the 
Manually Reconcile Customer Schedule window: 
  - Query for the schedule's document number. Study the delivery note data in
    the 
	Reconciliation Detail tab. If the last delivery received
    by the customer does not correspond to the last delivery shipped by the
    company, enter the delivery note number from the customer in the Last Receipt group box.
- On the Operations menu, click Reconcile Manually.
Note:
If you have chosen to reconcile cumulative quantities, delivery notes are not taken
into account.
To directly reconcile a specific customer schedule from the Customer Schedules 
window: 
  - Query for the  desired schedule.
- Right-click and then click Reconcile.