BPCS Reference Manual
BPCS Reference Manual
SSA
BPCS Client/Server
Plant Maintenance
Electronic Commerce
USER/ Vision
AS/SET ODW
System Software Associates, Incorporated Business Planning and Control System Application System/Software Engineering Technology Object Development Workbench
Introduction
BPCS Client/Server V6.0.04 Overview BPCS Client/Sever Products Configurable Enterprise Financials (CEF)
>Accounts Payable(ACP) >Accounts Receivable (ACR) >Advanced Remittance Processing (ARP) >Credit and Deduction Management(CDM) >Cash Management(CSH) >Cost Accounting(CST) >Fixed Assets (FXA) >Multiple Currencies (MLT) >Configurable Enterprise Accounting(CEA) >Configurable Ledger(CLD) >Advanced Budgeting and Analysis (CBA) >Enterprise Structures and Consolidations (ENT) >Configurable g Currency y Translations(CCT) ( )
Introduction
BPCS Client/Server V6.0.04 Overview BPCS Client/Server Products,continued Multi-Mode Manufacturing (MMM)
>Advanced Process Industries (API) >Manufacturing Data Management (BOM or MDM) >Capacity Planning (CAP) >CIMPath (CIM) >JIT/Repetitive Manufacturing (JIT) >Master Production Scheduling (MPS) >Material Requirements Planning (MRP) >Performance Measurement (PRF) >Quality and Laboratory Management (QMS/LMS) >Shop Floor Control (SFC)
Introduction
Transaction Programs
May be either interactive or batch processed. processed These programs are used To process transactions. For example ,FOR500 is BPCS Client/Server Program for performing forecast modeling and selecting the best fit Forecasting technique. Numbered 500-799 FOR500-Modeling
Inquiry Programs
On-line programs that access database files. Use these programs instead Of reports when you need to review a specific piece of information and Need to have the most current data. Numbered 300-399 MRP300 Pl MRP300-Planning i /P Pegging i I Inquiry i
Report Programs
Reports are interactive or batch programs that print information from the Database files in report form. Numbered 200-299 and 400-499 ACR200-Cash Receipts Journal Report
Introduction
Security group codes are maintained using Security group Maintenance (SYS603)
System menus are maintained using Menu Maintenance (SYS147) Accessed via Special Functions (F13),Option #9.
BPCS Client/Server V6.0.04 Overview Integration with other Products The inventory Th i t management(INV) t(INV) product d ti integrates t t with ith virtually allOther BPCS Client/Server products since the inventory management(INV) product contains the item master and inventory balances.
Facility (ZMF) Transaction Effect Code (ITE) Inventory Transactions Warehouse (IWM/IWI)
Location (ILM/ILI)
Lot (ILN)
Container (YCI)
Concept #2
BPCS Client/Server tracks opening balance, month-to-date issues ,receipts and adjustments and calculates on-hand inventory as : On-Hand=Opening Balance Issues +Receipts+Adjustments A il bl O H d All Available=On-Hand-Allocated t d
Concept #3
BPCS Client/Server differentiates between soft alocations and hard allocations. A soft allocation is the total quantity of an item needed for shop orders and customer orders. Soft allocations are created against the warehouse level and can go negative. Hard allocations occur when inventory is reserved from a specific location to a specific shop order or customer order. Hard allocations are created against the location ,lot or container level and can not go negative.
BPCS Client/Server V6.0.04 Overview Master Files,continued It Item Status St t Code C d (ISC)
Used during order entry to control the automatic substitution of alternative items (item status code 01-03) or to control the display of a user defined message (item status code 04-99). If using item status code 01-03 then alternative items need to be set-up using Alternative Item Maintenance (INV180) .Each item can be assigned an item status code using Item Master Maintenance (INV100). Reserved item status codes are: Item Status Code 01 02 03 Description Automatic substitution regardless of stock position Automatic substitution if primary item has insufficient stock Automatic substitution if alternate item has sufficient stock
User defined status codes 04-99 can be used to display messages during order entry. Item status codes are maintained using Item Status Code Maintenance (INV195)
BPCS Client/Server V6.0.04 Overview Master Files,continued Reserved Inventory Transaction Effect Codes
Code # % = B C CI CS D DS I II IR J M N O P PR QT R RD RJ RM T U UR W WF WT XA XB Description Cost Adjustment Potency Adjustment FAS Receipt Shipment P.O Costing Component Issue Component Scrap Downtime Drop Ship Receipt Single Issue In-Transit Issue In-Transit Receipt Multiple Issue Multiple Issue w / Receipt P.O Receipt to Inspection Physical Inventory Adjustment P.O Receipt from Inspection to Stock Production Receipt Quality Transfer Shop Order Receipt Redesignate Production Reject j Return Material Transfer P.O Receipt to Stock Unscheduled Receipt WIP Transfer WIP From WIP To XM4 Shipment XM4 Shipment Invoice JIT600/SFC650 JIT600/SFC650 XM4500 XBL580 WHM510 INV500 JIT600 / SFC650 BIL500 INV510 PUR550 JIT600 / SFC650 QMS590 INV500 INV500 INV650 PUR550 DRP550 ORD570 INV500 INV500 PUR550 Automatic From CST100 INV130 ORD570 ORD570/BIL500/BIL650 ACP500 JIT600/SFC650 JIT600/SFC650 INV500 PUR550 INV500 Manual From
Facility (ZMF)
Used to identify unique manufacturing plants or distribution centers. BPCS Client/Server allows costing and planning to be controlled either globally or by facility. In addition, routings and bill-of-materials can be maintained globally or by facility to support facility specific costing and planning. Finally, BPCS Client /Server has an item /facility planning data f (C C) that supports unique planning parameters f file(CIC) for the same item manufactured f at multiple sites. Facility codes are maintained using Facility Maintenance (SYS190).
Warehouse (IWM)
Used to group individual inventory locations or stocking positions. Costing and planning can be controlled at the facility level, however, execution is performed at the warehouse level. Purchase orders, customer orders, shop orders, resupply orders and forecasts are created for a specific warehouse. Warehouses are: >assigned to a company and facility >coded as either allocatable or non non-allocatable allocatable >coded as either nettable or non-nettable >coded as either standard, managed(WHM) or sequential (RMS) >assigned lower, upper and next consignment number Warehouses are maintained using Warehouse Master Maintenance (INV110)
Lot (ILN)
Used to define a specific quantity of an item that shares common characteristics such as being manufactured on the same shop order or received from the same purchase order. Items can be coded as lot controlled using Item Master Maintenance (INV100). Lots can be automatically created during shop order or purchase order receipt processing. Lots are maintained using Lot Master Maintenance (INV130).
Container (YCI)
Used to track specific items that share a physical labeled container for storage. Items can be coded as container controlled using Item Master Maintenance (INV100). Container control can be used for lot controlled and non lot controlled items. Containers are maintained using Container Maintenance (API140).
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BPCS Client/Server V6.0.04 Overview Processing Key processing activities performed within the inventory management product are:
>Inventory Transactions (INV500) >Mass Location Transfers (INV510) >Cycle Counting(Menu INV03)-One Step
Clear Cycle Counts (INV810) Selected Cycle Counts (INV520) Selected Cycle Counts
By Warehouse (INV277)
By Cost (INV278)
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BPCS Client/Server V6.0.04 Overview Period End Processing There are no period end processing programs within the master scheduling and material requirements planning products.
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BPCS Client/Server V6.0.04 Overview System Reorganizations System reorganizations programs related to the master scheduling and material requirements planning roducts are:
>Reorganize MRP Files (MRP990) >Reset Facility Locks (SYS996)
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Receive Provide Receive Provide Receive Provide Receive Provide Provide Provide Receive
CAP CST CST INV INV JIT JIT MPS ORD SFC SFC
Warehouse (IWM)
Department (CDP)
Facility (ZMF)
Routing (FRT)
Bill-ofMaterial (MBM/MPB)
Facility (ZMF) Item Master (IIM) Engineered Controlled Items (MBA) Method Codes (ZMD)
Revision (MBC)
Drawing (MBD)
Concept #2
BPCS Client /Server allows individual components in the bill-of-material to be backflushed / multiple issued or single issued. If a component is coded as must single issue then the material must be manually issued using inventory transactions transactions.
BPCS Client/Server V6.0.04 Overview System Parameters Order Entry y System y Parameters ( (ORD820) )
>Planning Bill Component Effectively Date Basis
Machine (LMH)
Used to define an individual piece of equipment. Machines are linked to a work center and contain an efficiency factor and a machine speed factor. If multiple machines are linked to one work center, the available capacity for the work center is computed based on the average of all machines. Machines are maintained using g Machine Maintenance ( (CAP170) )
Bill-of-Material (MBM)
Used to define the components needed to manufacture an item. BIll-of -materials can be maintained globally by facility and by method code. Method codes are used to define secondary bill-of-materials bill of materials for the same item. The blank method code bill-of-material is assumed to be the primary bill-of-material. Bill-of-materials are maintained using Manufacturing Data Maintenance (BOM500)
Machine (LMH)
Used to create single level bill-of-materials for assortment and kit processing. Also used for feature / option processing and production planning using product families and percentages. All planning bill-of materials t i l are global. l b l Planning bill-of-materials are maintained using Planning Bill Processing (BOM600).
BPCS Client/Server V6.0.04 Overview Master Files, continued Manufacturing Data Notes (MPN)
Used to enter additional text information for a manufactured item. BPCS Client/Server allows routing notes by operation and bill-of-material Notes by component Manufacturing data notes are maintained using Manufacturing Date Notes Maintenance (BOM190)
Item Notes (INV190)
Note Type Field (PNTYPE) >I Item Notes (INV190) >R Routing Notes (BOM190) >M Material Notes (BOM190)
Operation Number Field( PNOPN) >Zero for Item Notes (INV190) >Sequence number for Material Notes (BOM190) >Operation number for Routing Notes (BOM190)
Note Type Field (SNTYPE) >S Shop Order Header Notes (INV190/SFC190) >R Routing Notes (BOM190) >M Material Notes (BOM190)
BPCS Client/Server V6.0.04 Overview Master Files, continued Alternative Method Code (ZMD)
Used d to create alternative l i or secondary d bill-of-material bill f i l and d routings. i Alternative method codes are created and then used when creating billOf-materials and routings. If using alternative methods, BPCS Client/ Server supports material planning, capacity planning, shop orders and Costing by method code. Alternative Alt ti method th d codes d are maintained i t i d using i method th d code d maintenance i t (SYS115).Valid combinations of routing and material method codes are Maintained using method table maintenance (SYS135) or method table Generation(SYS137).
Method Type 0 Manufacturing M f t i 1 Costing 2 Both Material Method-BOM Routing Method-Routing Method Table M i t Maintenance (SYS135)
Can use method codes for: >Cost Sets >Bills-of-materials >Routings >Manufacturing g Data Notes >Bills-of-Resources >Planned and Firm Planned Orders >Shop Orders >Engineering controlled Item
BPCS Client/Server V6.0.04 Overview Master Files, continued Engineering Change Management Engineering Change Controlled Item (MBA)
Used to indicate if an item is change controlled within BPCS Client /Server. If the item is change controlled, then bill-of-material maintenance must be performed with Engineering Change Order Maintenance (BOM100) and cannot be performed using Manufacturing Data Maintenance(BOM500) Engineering change can be controlled at the following four levels: 1.All Facilities /All Items /All Method Codes 2.Specific Facility /All Items /All Method Codes 3S 3.Specific ifi F Facility ili /S /Specific ifi I Item /All M Method h dC Codes d 4.Specific Facility /Specific Item /Specific Method Code Engineering change controlled items are maintained using Engineering Change Controlled Items (BOM110)
BPCS Client/Server V6.0.04 Overview Master Files, continued Approval Process Steps (MBS)
Used U d to maintain i i the h i individual di id l steps ( (activities) i i i ) performed f dd during i the h Engineering change process. Approval steps can be defined as required And also as valid posting steps. Approval steps are maintained using Approval Steps Maintenance (BOM175)
D Drawing i (MBD)
Used to maintain and track manufacturing drawings. Drawings can be Assigned an item number and will update the drawing number field on The item master Drawings are maintained using Drawing Master Maintenance (BOM140)
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BPCS Client/Server V6.0.04 Overview Processing Key processing activities performed within the manufacturing data management product are:
>Bill-of-Material Mass Update (BOM510) >Planning Bill-of-Material Mass Update (BOM650) Engineering Change Management >Engineering Change Order (ECO) Maintenance (BOM100) >ECO Approval Processing (BOM550) >ECO Stock Based Effectively Processing (BOM620)
Selected Cycle Counts (INV520)
Bill-ofMaterial (MBM)
Routing (FRT)
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BPCS Client/Server V6.0.04 Overview Reports Reports available from the manufacturing data management Product are:
>Materials Listing (BOM200) >Where Used Listing (BOM220) >Production Process Sheet (BOM240) g Bill Listing g( (BOM260) ) >Planning
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BPCS Client/Server V6.0.04 Overview Inquiries Inquiries available from the manufacturing data management Product are:
>Manufacturing data Inquiry (BOM300) >Planning Bill Inquiry (BOM320)
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Routings (FRT)
BOMS (MBM)
Cost Master(CMF)Layout: Item/Facility/Set/Bucket/This Level and Previous Level Method Cost Type 1=Material 2=Labor 3=Overhead
BPCS Client/Server V6.0.04 Overview System Parameters Billing System Parameters (BIL820)
>Enter Cost Set for Profit Margin Costing
BPCS Client/Server V6.0.04 Overview Reports Reports available from the cost accounting product are:
Item Without Costs(CST101) Item Costs(CST200) Cost Variances(CST220) Gross Profit Analysis(CST230) Inventory Valuation(INV260) Labor / Overhead Distribution (CST250) Standard Cost Sheet (CST260) Shop Order Cost Variance and WIP Report (CST270) Costed Bill-of-Material (CST280) Material Usage Cost(CST290)
BPCS Client/Server V6.0.04 Overview Inquiries I Inquires i available il bl from f the th cost t accounting ti product d t are:
Costed BOM and Variances (CST300)
BPCS Client/Server V6.0.04 Overview Period End Processing Period P i d end d processing i programs within ithi the th cost t accounting product are:
Shop Costing / Post Close (CST900) Labor Ticket Journal Post (CST910)
BPCS Client/Server V6.0.04 Overview System Reorganizations There are no system reorganization programs related to the cost accounting product.
Provide Receive
BIL ECM
Customer (RCM)
Ship-To (EST)
Country (LCN)
Container (YCI)
Concept #2
Release management and shipping information is maintained on the customer master and defaults into the address master and can be overridden. The release management and shipping information from the address master defaults into the contract and can be overridden.
BPCS Client/Server V6.0.04 Overview System Parameters RMS P Parameter t M Maintenance i t (RMS820)
Release Entry Tolerance Percentage and Days- Period 1 Release Entry Tolerance Percentage and Days- Period 2 Release Entry Tolerance Percentage and Days- Period 3 Contract Number Optional Order Line Number for re-use Processing Next Container Prefix for Sequence Shipping Next Container Number for Sequence Shipping Container Prefix Range fro Sequence Shipping
BPCS Client/Server V6.0.04 Overview Master Files Non-Working Days (DHH / DHC)
Used U dt to maintain i t i th the d days th that t your customers t d do not t work. k I In addition, dditi non-working days can be defined fro your own organization. Non-working days can be created by country, by sales parent, by customer or by customer / ship to. Non-working days are maintained using Non-Working Days Maintenance(RMS110)
BPCS Client/Server V6.0.04 Overview Processing Key processing activities performed within the release management product are:
Process Inbound Release Requirements (RMS770) Contract /Release Maintenance (RMS500) RMS Conversion (RMS550) Automatic RMS Conversion Parameters (RMS551)
Contract/releas e maintenance (RMS500)
Contract Header DHS Release detail new DND Release Information New-DNI Release Header New DNR
Release Detail Current DCD Release Information Current-DCI Release Header Current -DCR
Release Detail Old DOD Release Information OldDOI Release Header Old -DOR
Mass Release Delete (RMS530) JIT Maintenance (RMS600) P Process I Inbound b d JIT R Requirements i t (RMS775) Batch Maintenance (RMS620) Mass Cumulative Reset (RMS535) Update Item Family Percentages (RMS910) Held Invoice Release (RMS610) Process Inbound pay as built (RMS750) Process Inbound Self Billing (RMS760) Packing release (RMS660) Packing release (RMS665) Sequenced shipping Release (RMS670) Sequenced pack location transfer (RMS675) Process Inbound Sequenced shipping (RMS740) Sequence Number Maintenance (RMS650)
BPCS Client/Server V6.0.04 Overview Reports Reports p available from the release management g product are:
>Release detail report (RMS220) >Release comparison report (RMS210) >Release history comparison report (RMS280) >Unconverted releases report (RMS290) >Billing Report (RMS260) >Requirement spreadsheet (RMS270) >JIT / Release Variance Report (RMS240) >Pull signal summary report (RMS640) >Sequence Mismatch /Error Report (RMS200) >Sequence Pack Status Report (RMS265) >Pay ay as bu built t Invoice o ce Backing ac g S Sheet eet ( (RMS262) S 6 ) >Pay as built Invoice Exception Report (RMS263)
BPCS Client/Server V6.0.04 Overview Inquiries Inquiries I i i available il bl from f the th release l management t product are:
Release Detail Inquiry (RMS300) Release Comparison Inquiry (RMS340) Release Reconciliation Inquiry (RMS320) JIT History Inquiry (RMS370) Run rates by item (RMS360) Run rates by item family (RMS361) Run rates by Release (RMS362) JIT /Release Comparison (RMS380) JIT /Release Reconciliation (RMS321) ( ) Selected Pack Inquiry (RMS310)
BPCS Client/Server V6.0.04 Overview System Reorganizations System reorganization programs related to the release management product are:
Reset Contract in Use Flag (RMS911)
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Provide Receive
ORD ORD
Company (RCO)
Concept #2
Pricing can be established at four levels. The four levels are: >1. Item Master List Price >2. List Price Book >3. Special Pricing >4. Promotion Master
BPCS Client/Server V6.0.04 Overview System Parameters Promotion and Deals System Parameters (PRO820)
>Auto Assign Off Invoice at Line Item Level During Order Entry >Auto Assign Bill Back at Line Item Level During Order Entry >Auto Assign Off Invoice at Total Order Level During Order Entry >Auto Assign Bill Back at Total Order Level During Order Entry >Bracket Promotions at Line Level During Order Entry >Display Promotion Panels Automatically During Order Entry >Last Promotion Number Used >Promotion Price Basis >Print on Acknowledgment,Invoice and Statement-Promotion Number >Print on Acknowledgment,Invoice and Statement-Promotion Description >Print on Acknowledgment,Invoice Acknowledgment Invoice and Statement-Discount Offered >Print on Acknowledgment,Invoice and Statement-Split O/I Discount Offered >Print on Acknowledgment,Invoice and Statement-Split B/B Discount Offered >List Price Hierarchy >Default List Price Book Method
BPCS Client/Server V6.0.04 Overview Master Files , continued Special Prices (ESP)
Used to maintain special p p prices. Special p p pricing g can be controlled by y customer or salesperson based on a system parameter setting. The nine special pricing methods (by customer) are:
Method 1 2 3 4 5 6 7 8 T Description Item Number /Customer Number Customer Number Item Number Item Discount Code /Customer Number Item Discount Code Item Number /Customer Discount Code Item Number /Customer Discount Code Item Discount Code /Customer Discount Code Total Order Discount
List book prices are maintained using List Price Book Maintenance (PRO150)
BPCS Client/Server V6.0.04 Overview Processing Key processing K i activities ti iti performed f d within ithi the th promotion and deals product are:
>Promotion Tracking (PRO130) >Mass List Price Book Update (PRO510) >Cost Plus List Price Development (PRO520)
BPCS Client/Server V6.0.04 Overview Reports p available from the promotion p and deals Reports product are:
>Summary Performance by Item (PRO210) >Summary Performance by Customer (PRO220) >Summary Performance by Promotion (PRO230) >Detail Performance by Item (PRO212) >Detail Performance by Customer (PRO222) >Detail Performance by Promotion (PRO232)
BPCS Client/Server V6.0.04 Overview Inquiries Inquiries available from the promotion and deals product are:
>Promotion Inquiry (PRO300) >Special Price Inquiry (PRO340) >List Price Book Inquiry (PRO350)
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Customer (RCM) ( )
Notes ( (ESN) )
OLM Tables -Shipping Route (LSR) -Canier Code (LCM) -Means of Transportion (LMN) -Freight g Terms ( (LFT) ) Order Class Pring Optio (EOP) Customer Item Cross Reference (EIX) Address (EST)
Concept #2
BPCS Client/Server differentiates between soft allocations and hard allocations . A soft allocation is the total quantity of an item needed for customer orders. Soft allocations are created against the warehouse level and can go negatvie. Hard allocations occur when inventory is reserved from a specific location to a specific customer order . Hard allocations are created against the location ,lot or container level and cannot go negative.
Concept #3
Customer orders can be closed (soft deleted )and /or purged (physically deleted from the files) based on system parameters running Order Close /Purge (ORD900)
BPCS Client/Server V6.0.04 Overview System Parameters Order Entry System Parameters (ORD820)
>Special Lines to Print on Acknowledgments >Special Lines to Print on Invoices >Include Special Lines in Order Margin Calculation >Margin Password Override >Customer Purchase Order Required >Use the Salesman Number for Special Pricing >Special Pricing Hierarchy >Include Special Lines in Order Total Discount Calculation >Automatic Close of Orders Supported >Closing of Orders (Ordered vs Shipped Basis) >Tolerance Percentage >Date for Which to Base Closing >Number of Days Order Should Remain Open >Date for Which to Base Purging >N b of >Number fD Days O Order d Sh Should ld R Remain i O Open >Default Order Class for Quotes >Default Order Class for RMAs >Are Allocations Generally Required for Customer Orders >At what Level do you Define Allocation Requirements and Exceptions >Price Resupply Orders >Resupply Orders Affect A/R >Resupply Orders Affect Sales History >Last Customer Order Number Used >Last Quote Number Used >Last RMA Number Used >Next Consolidation Number >Next Load Number >Next Bill of Lading Numbeer >Next Manifest Number >Enter DATE1 Heading to Display >Enter DATE2 Heading to Display >Parallel Validation-Minimum Number of Active Jobs >Parallel Validation-Maximum Number of Active Jobs >Parallel Validation-Reset Time in Seconds >Parallel Validation-Number of Transactions to Process in an Hour >Parallel Parallel Post-Minimum Post Minimum Number of Active Jobs >Parallel Post-Maximum Number of Active Jobs >Parallel Post-Reset Time in Seconds >Parallel Post-Number of Transactions to Process in an Hour
BPCS Client/Server V6.0.04 Overview System Parameters ,continued A Accounts t Receivable R i bl A Aging i (ACR820)
>Use Credit Hold Password >Password for Credit Hold
Address (EST)
Used to maintain address, release management and shipping information for your customers. You can also establish ship-to /service provider cross reference. Unique information can be maintained for the following system reserved address types:
Address Type 00 01 02 03 04 06 Description Global Ship-To Promotional Pay-To Invoice-To L kB Lock Box-To T Vendor Ship From
BPCS Client/Server V6.0.04 Overview Master Files, continued Order Class (EOC/EOP)
Used to define the events for each customer order and the documents generated from each event. The five basic processing events for a customer order are: 1.Order Entry (Icon) 2.Pick Release (ORD550) 3.Pick Confirm (ORD570) 4.Ship Confirm (ORD590) or Load Control Center 5.Billing (BIL500) Order class 001-099 are system reserved and order class 100-999 are user defined. O d classes Order l are maintained i t i d using i O Order d Cl Class Maintenance M i t (ORD170). (ORD170)
Order type 9 is reserved for re-supply orders Order types are maintained using Order Type Maintenance (ORD180) Configurable Order Management (ORD) 8
BPCS Client/Server V6.0.04 Overview Processing Key processing K i activities ti iti performed f d within ithi th the configurable fi bl order management product are:
>Order Entry (ICON)
Notes (ESN)
Quote (ICON)
Notes (ESNW)
Notes (ESN)
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RMA (ICON)
Notes (ESNW)
Notes (ESN)
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Allocation (ELA)
Allocation, but from Where? Order Line Item The ELA files associates the Qty Allocated Where and the What Order Line Item Location Qty Allocated
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Update Customer, Ship-Tos and Warehouse With OLM Master File Data
Must load postal codes in warehouse master,customer master and ship-to master in order for OLM to work correctly Must load weight, volume and pallet information in item master in order for OLM to work correctly
Concept #2
Freight charges can be automatically calculated and be based on weight, volume,distance or a flat charge.
BPCS Client/Server V6.0.04 Overview System Parameters Freight Parameter Generation (OLM820)
>Standard Units of Measure-Volume >Standard Units of Measure-Distance >Standard Units of Measure-Weight >Standard Shipment Charges Code >Default Freight Terms Code >Days Days to Retain Freight History >Minimum Number of Postal Code Digits Used for Carrier Selection and Rate Calculation >Activate Hazardous Processing >Default Hazard Code >Next Load Number >Load Description p >Next Bill of Lading Number >Bill of Lading Description >Next Manifest Number >Manifest Description >Packing List Used >Bill of Lading Used >Manifest /Master BOL Used >Default Commodity Code >Default Invoice By >Next Consignment Number >Lower Consignment Number >Upper Consignment Number >Next Carton Number >Lower Carton Number >Upper Carton Number >Next Pallet Number >Lower Pallet Number >Upper Pallet Number >Default D f lt R Rate t B Break kH Heading(1-7) di (1 7) >Default Rate Break(1-7)
Releases
(RMS550)
Order Entry
(RMS551)
Customer Order
(ORD720)
ORD410
ORD420
(ORD400)
ORD430
(Load Control)
(ORD550)
Pick List
Loads
(ORD570)
Picking List
(Load Control)
Bill of Lading
Billing Realease
(BIL500)
Invoice
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Billing (BIL)
Inventory Balances
Invoice (RAR)
Invoice (BIL550)
Invoice Line History (SIL) Journal Header (GHH) Journal Detail (GLH) Journal Analysis (GLA) Journal Notes (GNH) Account Cross Reference (GCR) Journal Subsystem Cross Reference (GXR)
Billing (BIL)
Concept #2
Invoice processing and invoice printing can be performed in a one step process or can be performed in a two step process. In addition, BPCS Client/Server supports the generation of proforma invoices.
Billing (BIL)
BPCS Client/Server V6.0.04 Overview System Parameters Billing System Parameters (BIL820)
>Enter Cost Set for Profit Margin Reporting >Last Packing Group Number Used >Packing Group Number Range >Last Invoice Number Used >Invoice Number Range >Company / Prefix Document Sequencing >Single RMS Prefix >RMS Prefix >Last RMS Invoice Number Used >RMS Invoice Number Range >Print Special Lines on Post Shipment Invoices >Last L tP Proforma f N Number b U Used. d >Transaction Mode 0 Payment Short Description >Transaction Mode 1 Invoice Full /Short Description >Transaction Mode 2 Debit Memo Full /Short Description >Transaction Mode 3 Credit Memo Full /Short Description
Billing (BIL)
Billing (BIL)
BPCS Client/Server V6.0.04 Overview Processing Key processing K i activities ti iti performed f d within ithi the th billing billi product are:
>Invoice Release (BIL500) >Invoice Print (BIL550) >Invoice Re-Print (BIL560) >Drop Shipment Confirmation (BIL650)
Billing (BIL)
BPCS Client/Server V6.0.04 Overview Reports R Reports t available il bl f from th the billi billing product d t are:
>Shipped but Un-invoiced Orders (BIL660) >Shipped but Un-invoiced Consignments (BIL662)
Billing (BIL)
Billing (BIL)
Billing (BIL)
BPCS Client/Server V6.0.04 Overview System Reorganizations System reorganization programs related to the billing product are:
>Billing Reset (BIL993)
Billing (BIL)
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Receive Provide
ORD PRO
Company (RCO)
Customer (RCM)
BPCS Client/Server V6.0.04 Overview System Parameters A Accounts t Receivable R i bl A Aging i (ACR820)
>Use Credit Hold Password >Password >Default Parents Business Customers >Aging Period 1 Description /Days >Aging Aging Period 2 Description /Days >Aging Period 3 Description /Days >Aging Period 4 Description /Days >Aging Period 5 Description /Days >Enter Date by Which to Age Receivables
Corporate
>corporate parent customer number >accounts receivable statement-to customer number >remit-from customer number >lock box-to customer number >accounts receivable customer number >invoice-to customer number >pricing customer number >promotion customer number >promotional pay-to customer number
Sales
>sales parent customer number >ship-to customer number >item number cross reference customer number >sales history customer number
BPCS Client/Server V6.0.04 Overview Master Files, continued Document Sequence (RDS)
Used to maintain the prefix code, current year, next year, sequence numbers and prefix type for document sequences. Valid prefix types are:
Prefix Type 0 1 2 3 4 Description None Prefix for Customer Invoices Intra EEC Use Only Lock Document Prefix Reserved for Zero Amount Invoices
Document sequencing must be activated if using ATP with CEA. Document sequences are assigned to customers through Customer Master (ACR100). Document sequences are maintained using Document Sequence (ACR160).
BPCS Client/Server V6.0.04 Overview Processing Key processing K i activities ti iti performed f d within ithi th the accounts t receivable product are:
>Cash and Memo Posting (ACR500) >Invoice Maintenance (ACR510) >Dunning Selection and Print (ACR600) >Customer Hierarchy Realignment (ACR973)
Invoices (RAR)
Journal Header (GHH) Journal Detail (GLH) Journal Analysis (GLA) Journal Notes (GNH) A Account Cross C R Reference f (GCR) Journal Subsystem Cross Reference (GXR)
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Contact (RNM)
Concept #2
The customer discrepancies file (RSC) can be rebuilt daily or monthly based on system defaults maintained using System Defaults (CMDD130)
Notes (RNH/RND)
Used to maintain additional information related to a customer or an invoice. Notes can be entered at the customer level or the invoice level. When notes are entered,a note type and contact name are attached to the notes. Notes can be manually created or system created . Notes are maintained using Notes (ACR300).
Contact (RNM)
Used to maintain information related to the customer or invoice contact. Multiple contacts can be created for each customer, as well as for each invoice. Contacts are assigned to notes. Contacts are maintained using Notes (ACR300).
(RAR)
(RCM)
(RCU)
(RDC)
(RND)
(RNH)
(RCN)
(RSC)
10
11
Inventory Balances
Invoice (RAR)
Invoice (BIL550)
Journal Header (GHH) Journal Detail (GLH) Journal Analysis (GLA) Journal Notes (GNH) Account Cross Reference (GCR) Journal Subsystem Cross Reference (GXR)
Concept #2
Invoice processing and invoice printing can be performed in a one step process or can be performed in a two step process.In addition,BPCS Client/Server supports the generation of proforma invoices.
BPCS Client/Server V6.0.04 Overview System Parameters Billing Sytem Parameters (BIL820)
>Enter Cost Set for Profit Margin Reporting >Last Packing Group Number Used >Packing Group Number Range >Last Invoice Number Used >Invoice Number Range >Company / Prefix Document Sequencing >Single RMS Prefix >RMS Prefix >Last RMS Invoice Number Used >RMS Invoice Number Range >Print Pi tS Special i l Li Lines on P Post t Shi Shipment tI Invoices i >Last Proforma Number Used. >Transaction Mode 0 Payment Short Description >Transaction Mode 1 Invoice Full /Short Description >Transaction Mode 2 Debit Memo Full /Short Description >Transaction Mode 3 Credit Memo Full /Short Description
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MPS/MRP Forecast MPS/MRP Old Forecast for Basis Data ORD Open Customer Orders for Basis Data
Forecasting (FOR)
FOR010-Forecast Basis FOR910-Update Current Demand FOR915-Update Current Orders FOR920 U d t Current FOR920-Update C t Forcast F t
Requirements (KMR)
Forecasting (FOR)
Concept #2
Three different sources of data can be used to generate forecasts. Open customer orders,old forecasts or shipment history can be used as the basis data for modeling and forecast generation.
Forecasting (FOR)
Forecasting (FOR)
BPCS Client/Server V6.0.04 Overview Master Files Methods and Errors (ZPA)
Used to maintain the basic definition information for the system supplied forecasting and error methods. The five forecasting methods are:
Method 1 2 3 4 5 Description Exponential Smoothing Least Squares New Equal Old Seasonality plus Trend Average Yearly Change With Seasonality
Forecast and error methods are maintained using Methods and Errors (FOR110).
BPCS Client/Server V6.0.04 Overview Master Files,continued Item Class / Warehouse Wareho se O Overrides errides (ZPA)
Used to maintain information that controls how forecasting will occur. Information such as,forecasting method(s),error method,seasonality code, number of forecast periods and alpha factors are defined for each item class /warehouse combination. Item Class /warehouse overrides are maintained using Item Class /Warehouse Overrides (FOR140).
Forecasting (FOR)
BPCS Client/Server V6.0.04 Overview Master Files,continued It Item Warehouse W h Data D t (JFC/JFI)
Used to maintain information that controls how forecasting will occur. Information such as forecasting method(s),error method,seasonality code, number of forecast periods and alpha factors are defined for each item number/warehouse combination.The initial information defaults from the item class /warehouse overrides created through Item Class /Warehouse Overrides (FOR140). Item warehouse data is maintained using Item Warehouse Data (FOR170).
Forecasting (FOR)
Forecasting (FOR)
Forecasting (FOR)
Forecasting (FOR)
10
Forecasting (FOR)
11
BPCS Client/Server V6.0.04 Overview System Parameters DRP System Parameters (DRP820)
>Require Lot Match at Receipt and Track In-Transit >Require Container Match at Receipt and Track In-Transit >Allow to Receive More than Shipped.
Inventory Balances
10
Requirements (KMR)
A
Inventory
MPS:MRP500 (MRP550) MRP:MRP600
(MRP300)
(MRP510)
(KFP)
(MRP320)
Planning Report
(SFC500)
(JIT540)
(MRP540)
(PUR500)
(JIT550)
(FSO)
(FOD)
(FMA)
A
(SFC505) (SFC520)
Concept #2
BPCS Client/Server supports maintaining planning information at four levels:
Program SYS800 SYS190 INV100 MRP140 File ZPA ZMF ILM CIC Horizon Yes No Yes N No Planning Codes Limited No All All Mass Release Warehouse Yes Yes No Y Yes
Concept #3
MPS and MRP can be run in regeneration mode or net-change mode .If run in regeneration mode, all items are planned .If run in net-change mode, only items with net change flag=Y are planned.
Concept #4
The following planning exception messages in order of importance are created during the planning process: >Cancel >Expedite >De-Expedite D E di >Past Due >Lead Time Violation >Release >Firm Up >Under Minimum >Over Maximum
BPCS Client/Server V6.0.04 Overview System Parameters MRP System Parameters (MRP820)
>Drop Firm Planned Orders Scheduled for Completion Before Planning Start Date >Demand Code to be Used Before the Time Fence (repetitive and other) >Demand Demand Time Fence (repetitive and other) >Demand Code to be Used After the Time Fence (repetitive and other) >Horizon Time Fence (repetitive and other) >Ignore Horizon Time Fence for Item Type O (phantom) and 5 (planning BOM) >Prorate Forecasts >Holding Cost Percentage on a Yearly Basis >Number of Days for Period Lot Sizing
BPCS Client/Server V6.0.04 Overview Master Files Item Master Planning Data (IIM)
Used to maintain global planning information for each item. Information such as planner code, lead-time, order policy code and minimum balance are maintained in the item master. You can define customer minimum, standard and incremental order quantities. Item master planning data is maintained using Item Master Maintenance (INV100)
BPCS Client/Server V6.0.04 Overview Processing Key processing activities performed within the master scheduling and material requirements planning products are:
>Master Schedule Generation (MRP500) >Explode p Requirements q ( (MRP600) ) >MRP Maintenance (MRP510) >Explode Planned Order /Firm Planned Adjustments(MRP550) >Finite Forward Scheduling (MRP640)
BPCS Client/Server V6.0.04 Overview Processing, continued >Final Final Assembly Consolidation and Release (FAS500) >FAS Shop Packet Print (FAS510)
Order Entry
(KAO)
(FAS500)
(KPR)
(FAS510)
(FSO)
(FOD)
(FMA)
BPCS Client/Server V6.0.04 Overview Processing, continued >Release Release Planned Orders (MRP540) and Print Released Orders (SFC550)
(KFP)
(MRP540)
MRP821 -Print Shop Packet -Allocate Shop Orders from Shop Packet
(KOR)
(SFC550)
(FSO)
(FOD)
(FMA)
(FAS510)
Only if Shop Packets were not Printed during Print Released Orders (SFC550)
(FAS510)
Shop Paperwork
(KMR)
(FSO)
(HPO)
(KFP)
(LRF)
(MRP700)
(LWK)
(FSC)
(LBR)
(MRP770)
(MRP710)
(KSR)
(KSO)
(KPO)
(KSP)
(MRP740)
(LSF)
(MRP705)
(MRP760)
(MRP750)
(MRP660)
(MRP720)
(MRP730)
(MRP670)
(MRP650)
BPCS Client/Server V6.0.04 Overview Reports Reports R t available il bl f from th the master t scheduling h d li and d material t i l requirements planning products are:
>Print MPS Detail (MRP240) >Print MPS Orders (MRP520) >FAS Orders Not Released (MRP530) >Firm Planned Order List (MRP110) >MRP Exception Report (MRP200) >Shop Order Rescheduling (MRP209) >Purchase Order Rescheduling (MRP211) >Firm Planned Order Rescheduling (MRP212) >MRP MRP Summary Projection (MRP230) >Releasable Orders Report (MRP250)
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BPCS Client/Server V6.0.04 Overview Inquiries Inquiries available from the master scheduling and material requirements planning products are:
>Planning /Pegging Inquiry (MRP300) >Available to Promise Inquiry (MRP310) >Master Schedule Detail Inquiry (MRP320)
11
BPCS Client/Server V6.0.04 Overview Period End Processing There are no period end processing programs within the master scheduling and material requirements planning products.
12
BPCS Client/Server V6.0.04 Overview System Reorganizations System reorganizations programs related to the master scheduling and material requirements planning products are:
>Reorganize MRP Files (MRP990) >Reset Facility Locks (SYS996)
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MPS/MRP Open Shop Orders MPS/MRP Planned and Firm Planned Orders to be Released ORD PUR Open Customer Orders Shop Order and Operation Number for Outside Operation Purchase Order Receipts of Outside Operations
Receive
PUR
Concept #2
BPCS Client/Server differentiates between soft allocations and hard allocations. A soft allocation is the total quantity of an item needed for shop orders. Soft allocations are created against the warehouse level and can go negative. Hard allocations occur when inventory is reserved from a specific location to a specific shop order. Hard allocations are created against the location, lot or container level and cannot go negative. negative
BPCS Client/Server V6.0.04 Overview System Parameters MRP and Shop Floor System Parameters (MRP821)
>Multiple Issue From Allocations or Location Entered During Posting >Multiple Issue to Include Yield Factor >Require Sequence Number to be Entered when Doing Shop Order Issues >Print Shop Packet >Allocate Shop Orders from Shop Packet Print
BPCS Client/Server V6.0.04 Overview Master Files Employee / Clock Number (CEM)
Used to maintain information related to your employees. Information such as labor rate and labor grade are entered and used during production reporting to determine the labor rate applied to labor tickets. Employee / clock numbers are maintained using Employee / Clock Number Maintenance (SFC150)
BPCS Client/Server V6.0.04 Overview Master Files, continued Shop Floor Notes (ESN)
Used to maintain additional information related to shop orders. The information can selectively be printed on shop packets. Notes can be entered by operation and component. Shop floor notes are maintained using Shop Floor Notes (SFC190)
SFC Shop Sh O Order d MRP Sh Shop O Order d Release and Print Release and Print
Note Type (SNTYPE) S Shop Order Header Notes R Routing Notes M Material Notes
Shop Paperwork
Material
Labor
Yes
Shop Paperwork
Shop Paperwork
10
11
12
MPS/MRP Open Shop Orders MPS/MRP Planned and Firm Planned Orders to be Released ORD PUR Open Customer Orders Shop Order and Operation Number for Outside Operation Purchase Order Receipts of Outside Operations
Receive
PUR
Just-in-Time (JIT)
Concept #2
BPCS Client/Server differentiates between soft allocations and hard allocations. A soft allocation is the total quantity of an item needed for shop orders. Soft allocations are created against the warehouse level and can go negative. Hard allocations occur when inventory is reserved from a specific location to a specific shop order. Hard allocations are created against the location, lot or container level and cannot go negative. negative
Concept #3
The Just-in-Time product does not create hard allocations unless the component is lot controlled.
Just-in-Time (JIT)
BPCS Client/Server V6.0.04 Overview System Parameters MRP and Shop Floor System Parameters (MRP821)
Require Sequence Number to be Entered when Doing Shop Order Issues Print Shop Packet Allocation Shop Orders from Shop Packet Print
Just-in-Time (JIT)
BPCS Client/Server V6.0.04 Overview Master Files Employee /Clock Number (CEM)
Used to maintain information related to you employees. Information such as labor rate and labor grade are entered and sued during production reporting to determine the labor rate applied to labor tickets. Employee /Clock numbers are maintained using Employee /Clock Number Maintenance (SFC150)
Just-in-Time (JIT)
BPCS Client/Server V6.0.04 Overview Master Files, continued Shop Floor Notes (ESN)
Used to maintain additional information related to shop orders. The information can selectively be printed on shop packets. Notes can be entered by operation and component. Shop floor notes are maintained using Shop Floor Notes (SFC190)
Item Notes (INV190)
Note Type (PNTYPE) I Item Notes (INV190) R- Routing Notes (BOM190) M Material Notes ( (BOM190) ) Operation Number (PNOPN) Blank for Item Notes (INV190) Sequence number for Material Notes (BOM190) Operation number for Routing Notes (BOM190)
SFC Shop Order MRP Shop Order R l Release and dP Print i t Release R l and dP Print i t
Note Type (SNTYPE) S Shop Order Header Notes R Routing Notes M Material Notes
Just-in-Time (JIT)
Just-in-Time (JIT)
MRP821 -Print Shop Packet - Allocate Shop Orders from Shop Packet
S t System Defaults D f lt
Shop Paperwork
Shop Paperwork
Just-in-Time (JIT)
Just-in-Time (JIT)
Just-in-Time (JIT)
Inquiries
Inquiries available from the just-in-time product are: Production Inquiry (JIT300)
Just-in-Time (JIT)
10
Just-in-Time (JIT)
11
Just-in-Time (JIT)
12
Provide Receive
MDM MDM
Receive Receive
MPS/MRP Planned and Firm Planned Orders for Capacity Planning SFC/JIT Open Shop Orders for Capacity
Rough Cut Capacity MPS Items Critical Work Centers Planned and Firm Planned Orders Bill of Resources Load on Start Date
Detailed Capacity All Items All Work Centers Planned,Firm Planned and Open Shop Orders Routings Load is Spread
BPCS Client/Server V6.0.04 Overview Master Files W k Center Work C t Capacity C it Information I f ti (LWK)
Used to maintain the information used to compute available work center capacity. Information maintained is average efficiency, machine speed factor, number of shifts, hours /shift and desired load percentage. In addition, input /output tolerances are maintained by work center and used by the Input /Output Control Report (CAP250) (CAP250). Finally, Finally a capacity loading code indicates what type of hours (run, machine, setup or none) are accumulated at this work center. Work center capacity information is maintained using Work Center Maintenance (CAP100).
(IIM)
(FRT)
(LWK)
(CAP160)
(CAP140)
(LBR)
(CAP150)
(CAP500)
(KFP)
(LRF)
(CAP350)
(CAP200)
(IIM)
(LWK)
(FRT)
(KFP)
(CAP600)
(LCR)
(CAP220)
(CAP230)
(CAP250)
(CAP300)
(CAP260)
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Purchasing (PUR)
(PUR152)
(PUR641) (PUR651)
(HCH/HCD)
(PUR524)
Purchase Order
Vendor Schedule
Purchasing (PUR)
Requisitions (HPH/HPO)
Requisition
Purchasing (PUR)
- only l if vendor d quote is i li linked k d to contract - only if you assign a one time clause code during printing
Purchasing (PUR)
BPCS Client/Server V6.0.04 Overview System Parameters Purchasing System Parameters (PUR820)
>Next Purchase Order Number >Next Purchase Order Requisition >Next Scheduled PO for Production Items >Next Scheduled PO for Consumable Items >Days used to Calculate Vendor Schedule Delivery Date >Inspection Days Required After Receipt of Material >Require Vedor Number / Lot Match >Days Tolerance for Early Vendor Delivery >Days Tolerance for Late Vendor Delivery >Tolerance Quantity Received Percent (Plus) >Tolerance Quantity Received Percent (Minus) >If Total Received Quantity is within Tolerance Close PO Line >If If Total T t l Received R i dQ Quantity tit is i within ithi T Tolerance l Cl Close D Drop Shi Ship PO Li Line >Requisition and Purchase Order Approval Required >Use Authorization for Scheduled PO >Vendor Split by Facility for Scheduled PO >Text for Schedule PO Requirement >Text for Schedule Planned / Firm Planned Requirement >Text for Mixed Requirement >Scheduled PO MRP Exception Report Default Tolerances >Enter Vendor VMRF1 VMRF5 Name
Purchasing (PUR)
Purchasing (PUR)
Authorization (HAU)
Used to establish the dollar authorization limits from system users and who must approve if the authorization limit is exceeded. Using on-line authorization is controlled by a system parameter and if used, purchase orders must be approved (on-line) (on line) before being printed printed. Authorization levels are maintained using Authorization Maintenance (PUR170).
Purchasing (PUR)
Purchasing (PUR)
Purchasing (PUR)
Key processing activities performed within the purchasing product are: >Contract Header/Detail Maintenance (PUR151/PUR152) >Schedule Price Maintenance (PUR154)
>Clause Code by Contract Maintenance (PUR159) >PO Clause Code Selection (PUR163) >Scheduled PO Document Print (PUR524) >Scheduled PO Consolidation / Release (PUR641) >Scheduled PO Batch Release (PUR651) >Scheduled Production Schedule Print (PUR540) >Scheduled Consumable Schedule Print (PUR542) >Requisition Maintenance (PUR600) >Requisition Print (PUR620) >Requisition Release (PUR650) >Purchase Order Consolidation / Release (PUR640) >Drop Shipment Release (PUR660) >Purchase Order Release / Maintenance (PUR500) >Purchase Order Print (PUR520) >Procurement Authorization (PUR530) >Purchase Receipts (PUR550)
Purchasing (PUR)
10
Purchasing (PUR)
11
Purchasing (PUR)
12
Purchasing (PUR)
13
Purchasing (PUR)
14
Equipment (LEM)
Concept #2
Inbound deliveries have four statuses which are:
Status 1 2 3 4 Description Planned Received Confirmed Complete
BPCS Client/Server V6.0.04 Overview System Parameters Inbound Delivery Parameter Generation (ILM820)
>Next Inbound Delivery Number >Days to Retain Inbound Delivery History >Cost Bucket >Shipment Charge Code
BPCS Client/Server V6.0.04 Overview Master Files Carriers and Freight Rates (LCM / LRD)
Used to maintain address and contact information for your carriers. In addition, freight rates are established based on weight, distance, volume or a flat charge. Carriers and freight rates are maintained using Carriers and Freight Rates (OLM100)
BPCS Client/Server V6.0.04 Overview Master Files, continued Means of Transportation (LMN)
Used to maintain the means of transportation related to the modes of transportation used by your organization. Fox example, for the mode of transportation land, the means could be truckload (TL) or less than truckload (LTL). In addition, minimum and maximum values can be established for weight, volume and pallets. Means of transportation are maintained using Means of Transportation (OLM110).
Duty (LDT)
Used to maintain duty codes and the duty percentage. Duty codes can be cross referenced to countries and harmonization codes. Duties are maintained using Duties (OLM107).
BPCS Client/Server V6.0.04 Overview Master Files, continued (LHM / LHX) ) Harmonization (
Used to maintain the harmonization codes used by your organization. For a list of standard harmonization codes refer to a US Customs handbook. Harmonization codes are assigned to items through Item Master Maintenance (INV100). Harmonizations are maintained using Harmonization Master (OLM191).
Post Item Inbound Delivery Costs (ILM600) Reconcile Inbound Delivery (ILM700) Complete Inbound Deliveries without Charges ( ILM900)
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11
12
Journal Header (GHH) Journal Detail (GLH) Journal Analysis (GLA) Journal Notes (GNH) Account Cross Reference (GCR) Journal Subsystem Cross Reference (GXR)
Vendor (AVM) ( )
Used to define accounts payable / purchasing address, contract processing, tax and shipping information for your vendors. Contract processing information such as schedule horizon, print frequency, shipping pattern, time period and release method are maintained on the vendor master file. Several of these fields default into the contract detail file and can be overridden. You can also establish vendor / service p provider cross reference. Vendors are maintained using Vendor Master (PUR100 / ACP100)
BPCS Client/Server V6.0.04 Overview Master Files, continued Term Codes (AVT)
Used U dt to maintain i t i vendor d t term codes. d V Vendor d t term codes d are used dt to determine invoice due days, discount due days and discount percentage. Vendor term codes are assigned to vendor though Vendor Master (ACP100) Vendor term codes are maintained using Vendor Terms (ACP160)
Document sequencing must be activated if using ATP with CEA. Document sequences are assigned to vendors through Vendor Master (ACP100) Document sequences are maintained using Document Sequence (ACR160)
Journal Header (GHH) Journal Detail (GLH) Journal Analysis (GLA) Journal Notes (GNH) Account Cross Reference (GCR) Journal Subsystem Cross Reference (GXR)
10
11
12
Operational
Configurable Ledger
Event Processing
Account s Payable
Multiple Currencies
Cost Accounting
Cash Management
Fixed Assets
Configurable Ledger
Rate Type (ZPA) Period Table Detail (GPL) Currency Code (GCM) Exchan ge Rate (GCC) Book (GDS) Event Sequence (GTD) Event (GTN) Period Table (GTB) Ledger (GDS) Model (GHM) Model M d l Detail (GLM) Model M d l Notes (GMN)
BPCS Client/Server V6.0.04 Overview System Parameters CEA Control Parameters (CEA820)
>Next Internal Account Number >Next Event Transaction Number >Analysis Fields >Retain Summarized Journal Lines
BPCS Client/Server V6.0.04 Overview Master Files, continued Chart of Account (GCH / GCS)
Used to define the number and sequence of segments that make up your account number. The chart of account can have up to 14 segments with each segment value of 224 characters (14*16) Chart of accounts are assigned to a ledger. Segments within your chart of account can be defined as either mandatory or optional. For a balanced ledger, at least two segments must be defined for your chart of account (a natural segment and a balancing segment). Chart of accounts are maintained using the Chart of Account Set-Up Icon.
Ledger g ( (GDS) )
Used to define a legal entity or organization. A period table and chart of account is assigned to a ledger. A balancing point segment is defined, if creating a balanced ledger. A ledger can have multiple books attached to it and each book can be denominated in a different currency. Finally, a retained earnings event is assigned to the ledger for year end processing. Ledgers are maintained using the Ledger, Book and Journal Source Set-Up Icon.
Journal sources are maintained using the Ledger, Book and Journal Source Set-Up Icon.
Alias (GAH)
Used to define a short hand description for an individual segment or a string of segments. In addition, and alias is used in conjunction with an advanced macros to act as a look-up table for segment values. Aliases are maintained using the Alias Set-Up Icon.
Macro(GAM) ( )
A macro is a small program used by advanced transaction processing (ATP) to retrieve values from BPCS Client / Server data files to use as segment values in a journal entry. Advanced macros are used in conjunction with an alias to act as a look-up table for segment values which are used in a journal entry. Finally, a macro can be assigned to a subsystem event determination and used to retrieve a value which determines the event to use. Configurable macros provide even more flexibility since they are user defined and can be configured to perform additional processing on the retrieved data. Additional processing such as addition, subtraction, division, multiplication, concatenation and substrings can be performed. Macros are maintained using the Macro Set-Up Icon.
BPCS Client/Server V6.0.04 Overview Master Files, continued Model (GHM /GLM/GMN)
Model are the basis for all journal entries in BPCS Client/Server. Models are assigned a chart of account and journal source code. Models can be defined as reversing, which will create a reversing journal entry when the model is used. The major types of models are: >Allocations >Translations >Retained Earnings >Batch Transaction Processing >Cartera >Customer Drafts >Customer Invoice >Customer Payment >Inventory >Labor Tickets >Promotions >Revaluation Payables >Revaluation Receivables >Vendor Drafts >Vendor Invoice >Vendor Payment Model lines are used to define how the journal entry will be constructed. For each segment, you define an alias, macro, advanced macro, wild card or hard coded value that is then resolved to create the actual journal entry value. In addition, reference f and d analysis l i fi fields ld can b be used dt to capture t more i information f ti related l t dt to the journal entry. Finally, model notes and model line notes can be defined. Model are maintained using the Model Set-Up Icon.
BPCS Client/Server V6.0.04 Overview Master Files, continued Subsystem Event Determination (GBE /GED)
Used to link a subsystem program and reason code to an event event, which is linked to a model, which in turn, is used to create the journal entry. The reason code for the inventory subsystem is composed of the transaction effect code plus the transaction effect reason code. The reason code for the other subsystems is defined using Reason Code (SYS170). You can also enter an optional company number which is used to determine the proper subsystem event determination. Finally the journal processing method is defined for each subsystem event Finally, determination. Journal processing methods are bypass journal, defer posting, post immediate and validate in batch. Subsystem Event Determination is maintained using the Subsystem Event Determination Set-Up Icon.
10
BPCS Client/Server V6.0.04 Overview Master Files, continued Event (GTD/ GTN)
Events are the basis for all journal activity in BPCS Client /Server. Events are created for allocation, audit adjustment, consolidation, manual adjustment, retained earning, translation and subsystem. If creating a subsystem event, then you must define the subsystem origin as one of the following: >Cartera >Customer Drafts >Customer Invoice >Customer Payment >Inventory >Labor Tickets >Promotions >Revaluation Payables >Revaluation Receivables >Vendor Drafts >Vendor Invoice >Vendor Payment >Batch Transaction Processing Events are attached to a ledger, book and model. In addition, for each event, you can indicate: >if you allow journal entries in error >whether to approve before posting >summarize subsystem journal entries >whether h th t to view i generated t d subsystem b t j journal l entries t i on li line Events are maintained using the Event Set-Up Icon.
11
Allocation Set-Up
Allocation
12
Process Definition
Structure Inquiry
13
14
Financial Reports
15
16
17
18