‎2006 Jun 30 9:50 AM
Hi all,
As a part of warehouse management , these transactions are used to carry on continuous inventory and inventory count.
My first question is what are these things used for.
I have an inbound interface where i am confirming the Transfer order and carrying out these transactions.
Please do help me out in understanding of this transaction and the related BAPI to create.
Thanks in Advance,
Regards,
B.Anandha Krishnan.
‎2006 Jul 01 10:43 PM
Documentation for LX16 Tcode
Carry out Continuous Inventory
<b>Purpose</b>
With the continuous inventory method you take inventory on a selected number of storage bins in a storage type. The inventory can take place at any time during the fiscal year. Compared to the annual inventory count at the end of the fiscal year, the continuous inventory has some advantages.
The effort for the inventory is not concentrated on a certain day or days but is distributed over the entire year. This can result in a better levelling of the workload in the warehouse.
Inventory can be conducted during slow times, for example, during the summer vacation period.
With a reduction in the effort required at the end of the fiscal year, a company can respond better to problems that might arise during an end-of-year closing.
When an inventory is carried out on a continuous basis, up-to-date information about the correspondence between the warehouse stock and the book inventory is always available.
Try with these BAPI's for LI11N
BAPI_WHSE_TO_CREATE_STOCK
BAPI_WHSE_TO_GET_DETAIL
BAPI_WHSE_TO_GET_LIST
BAPI_WHSE_STOCK_GET_DETAIL
BAPI_WHSE_STOCK_GET_LIST
Regds
Manohar