Edit Release Slip

Activity overview

Unified Glossary

Basics of using Ramco Enterprise series web page

Using online help

This page allows you to modify or approve the release slips. The information in this screen is categorized as Release Slip Details, Release Slip Amount Details, and Item Details. You can modify the folder, hold, buyer, remarks, and approval date fields only in the release slip details information tab. The only editable field in the release slip amount details information tab is the exchange rate field. “Get Blanket PO Line Items” push button can be accessed to populate the multiline with the line items present in the BPO. You can access the “Edit Release Slip” push button to modify the release slip or “Edit & Approve Release Slip” to modify as well as approve the details of the release slip.

The “Edit Release Slip” page appears.

The system displays the following in the header:

Work Flow Status

The status of the document as per Work flow Applicability. The Work flow status will be visible only if  "Workflow Applicability" for the transaction is set to Yes in Company Parameter Setup component.

The System displays the status of the release slip.

The system displays the following in the “Release Slip Details” group box:

Release Slip No.

Unique identification number of the Release Slip with which it is referred.

Amendment No.

Unique identification number of the Amendment document. The Amendment document is created whenever any modifications are done to the approved document.

Release Slip Date

The Date in which the Release Slip document was created. (Date Format). Mandatory.

Folder

Use the drop down list box to select the folder in which the release slip documents are present.

The System displays the following:

Contract Type

The type of the contract is displayed.

Blanket PO No.

The Unique identification number of the BPO.

Blanket PO Date

The Date of creation of the BPO.

Type

The type of the Release Slip is displayed in this field.

Supplier Code

Code or identification number of the supplier.

Name

Name of the Supplier associated with the supplier code.

Hold

Check this box if you want this created release slip to be put in hold for authorization.

Buyer

Use the drop down list box to select the code or identifier of the buyer.

The System displays the following:

Blanket PO Created At

The name of the OU in which the Blanket PO was created is displayed.

Rate Control

The system displays “Yes” or “No” in this field stating that whether rate control is needed or not.

Remarks

You can enter valid comments about the release slip in this field.

Approval Date

The date on which the release slip was approved is mentioned.

The System displays the following in the “Release Slip Amount Details” group box:

Release Slip Value

The total value of the release slip document is displayed.

Additional Charges

 The additional charges incurred for the items specified in the release slip.

Total Value

 The total value of the release slip document.

Currency

The currency in which the value of the release slip is specified is displayed.

Exchange Rate

The Exchange-Rate in which the release slip value is calculated w.r.t. the base currency of the company, if the currency specified for the release slip is different from the base currency  (Numeric). If the release slip is in base currency, then the exchange rate is 1(One).

The System displays the following:

Base Currency Value

The release slip value calculated in base currency.

Receipt At

Use the drop-down list box to select the receiving OU of the Line Item. .

Need Date

The Date on which the Item is needed. . (Date Format). Mandatory.

Warehouse Code

Code or identifier of the warehouse where the items are stored.

 

Help Facility Available

Accounting Unit

Use the drop down list box to select the financial book associated with the release slip.

CC Usage

Use the drop-down list box to select the user-defined name, which actually points to a Cost Center.  The Cost Center for which the items in the release slip has been ordered.  In case of Service Item, Adhoc Item CC Usage needs to be specified.

Account Usage

Use the drop-down list box to specify the AC Usage, which is used to get an account code from ARD component (Account Rule Definition). Specifying a AC Usage is mandatory in case the line item is a Non-Stockable item.

Analysis Code

Code/Identifier that is mapped to the account code that is used for analysis purposes. . (Alphanumeric, 5).

 

Help Facility Available

Sub Analysis Code

Code/Identifier that is mapped to the analysis-code that is used for analysis purpose. . (Alphanumeric, 5).

Budget ID

Unique identifier for a particular budget associated with the release slip line Items. (Alphanumeric, 6).

 

Help facility available.

Proposal No.

Unique identifier created for the capital items stating the cost assigned for it. When a purchase is made, the proposal id is specified thereby helping the purchase division to know the assigned amount for the capital item for that proposal ID. (Alphanumeric, 18).

 

Help Facility Available

Customer Code

Code or identification number of the customer. (Alphanumeric, 18).

 

Help Facility Available

Drop Ship ID

Unique identification number of the drop ship address details where the items are directly delivered to the customer’s place. (Alphanumeric, 16).

 

Help Facility Available

Blanket PO Line No.

The Unique identification number of the BPO.

 

Help Facility Available

The System displays the following:

Item Code

The code of the item requested by the customer. This appears as a hyperlink and can be accessed to view item related details.

Variant

Variant code is associated with the Item code present in the activity. (Alphanumeric, 4). An item may or may not have a Variant.

Description

Description stating the name of the item code or the item code and variant.  In case of Adhoc Item only description is specified without item code and variant.

Blanket PO Balance Qty

The balance quantity, which has to be delivered to the customer, is displayed.

Quantity

The Quantity ordered for the line item is entered in this field.

The System displays the following,

UOM

The Unit Of Measure in which the customer wishes to purchase the goods from his supplier. This appears as a hyperlink and can be accessed to view Unit Of Measure related details.

Cost

The Actual cost of the item for making a purchase.

Cost Per

The Basic unit of the UOM specified in which the purchase quantity is measured.

Receipt At

The name of the place where the customer receives the goods. This field will be filled automatically if the “default entries” push button is accessed.

Warehouse Code

Unique code/identifier of the Warehouse where the items are stored before consumption. This field will be filled automatically if the “default entries” push button is accessed.

 

Help Facility Available

Schedule Type

Use the drop-down list box to select the Schedule Type. It can be “Single” or “Staggered”. If Single schedule type is selected, it would instruct the supplier to deliver the items all at a time. If it is Staggered schedule type, the line item quantity is divided in to part deliveries.

Need Date

The Date in which the buyer needs the items. (Date Format). The Need date is filled with a date only when the Schedule type is “Single”. If the Schedule type is “Staggered”, then the need date would be filled in the Schedule Type page where multiple delivery dates are assigned for a particular item. This field will be filled automatically if the “default entries” task is executed.

Accounting Unit

The Financial Book also known as Accounting Unit. There are various financial books available within the Buyers organization. He specifies a particular Financial Book for all the purchase payment related details. The Supplier can also raise payment related documents to that particular financial book also called as Accounting unit. This field will be filled automatically if the “default entries” push button is accessed.

The System displays the following:

Basic Value

The Basic value of the purchased product based on the Quantity, cost and Per ratio.

 

Basic Value = (Quantity * Cost / Per)

Total Value

The actual amount to be paid to the supplier for the items.

Drawing Revision No.

Unique identification number is provided to the revisions or modifications done to the drawing depicting the appearance of the line item.

Adhoc Item Class

Use the drop-down list box to select the Adhoc Items from the list.

Ref Doc Type

The type of the reference document is entered in this field.

Ref Doc No.

Unique identification number of a reference document is mentioned in this field. The Reference documents can be of any external document from which certain references are taken regarding the items. 

Ref Doc Line No.

Unique identification line number present in that reference document is mentioned.

The System displays the following:

Rate Tolerance +Ve

The rate tolerance percentage is displayed in this field.

Project OU

The organization unit in which the project is defined.

Project Code

The unique code identifying the project associated with purchase release slip.

Project Description

The detailed description of the project mapped with purchase release slip.

Task Code

The task code mapped to the purchase release slip.

Task Desc.

The detailed description of the task code.

Remarks

The Buyer can key in his comments through which he can convey certain information that are related to him or to the purchase. Additional information can be provided in this field.

To proceed, carry out the following

Created By

The Name of the person who created the Release Slip document.

Created Date

The Date of the creation of the Release Slip document.