‎2007 Oct 03 9:30 AM
Hi,
I am facing one problem in routines. I am creating new output type in vl03n transaction and I am assigning existing routine to that output type. The code is correct as per logic after shipment is planned this output type needs to trigger. My doubt is this output type is not appearing if I go directly to vl03n transaction after shipment is created with planned status but it is appearing in vl02 transaction if I do save on vl02 transaction then it is also appearing on vl03 transaction suppose if I am not press save button in vl02 transaction then it is not appearing on vl03 transaction. Please tell me what is the problem in this please help me it is very urgent I will give points.
Thanks a lot.
‎2007 Oct 03 11:08 AM
Hi,
It is normal, because the output status is not processed.
When you processed it in VL02N its status is turned to <i>green</i>, and then you can display it in VL03N.
But if you havent processed output in VL02N it is still in <i>yellow</i> status, you can check it on the head->outputs page.
If you want the output to be processed at delivery creation (application save) you should set up customizing and enter its conditions in VV21.
Rgds,
Barna