Allocations + issuing received parts : Différence entre versions

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|Description=<translate>A guide to Allocations and Issuing from booking goods in.</translate>
 
|Description=<translate>A guide to Allocations and Issuing from booking goods in.</translate>
 
|Categories=Administration, Operation
 
|Categories=Administration, Operation
|Difficulty=Easy
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|Difficulty=Medium
 
|Duration=1-3
 
|Duration=1-3
 
|Duration-type=hour(s)
 
|Duration-type=hour(s)

Version du 29 octobre 2020 à 13:26

Auteur avatarStuga Engineer | Dernière modification 30/10/2020 par Stuga Engineer en cours de rédaction

Introduction

This involves splitting down received orders into the JC/Pick bins the parts have been allocated to by Sage.


If there are parts to be allocated, after filling in the 'this delivery' column and pressing save, if there are parts to be allocated a list will appear.

this list is in order of part number and in the sub-screen after highlighting each part number the specific Job card numbers will show quantities required for each bin and also the quantity to be allocated from the order received.

Étape 1 - Generated allocations list

Populate the allocate column for each part in accordance to the pick bins that are available.


The general rule is to prioritize allocation to the range of Bins of the Build numnber which is next to in line to be Built according to the production schedule.


If there is no bin physically available for the Job car number shown it must be zero'd in the allocation quantity column and put into stock normally.

Étape 2 - Click ok when Allocations are filled out correctly

Étape 3 - Generate P.O allocations list.

The P.O allocation report generates a printed list of the parts that have been allocated from the booking in process.


To run the report, on Sage manufacturing go to:

Traceability --> Reports --> Stuga P.O allocation


Once loaded input the Purchase order number the parts were booked in under and generate the report.


Étape 4 - Information on the P.O allocation report

The report shows the quantity of the part that has been received on the left next to the part code, and below shows the JC number then the amount to go into that JC to the right.

Étape 5 - Put allocated parts into correct Bins

Split down the order to put the allocated parts into the correct Bins using the Allocation Report.


Once a part has physically been put into the correct bin tick the Box to the right of marked 'Bin/Shelf' this indicates the part has been put into the JC pick bin.


Any remaining Quantity of each part, which is not allocated to any JC, is to be put into stock.

Étape 6 - Issuing Parts to Bins

Once the order has been split down and all the parts have ben placed where required (into a pick bin or on the shelf) the allocated parts need to be issued to the relevant JC.


On Sage click on 'Orders' to open the works order processing list.


Using the P.O allocation report go through each Job Card number on this list and issue each part to the Job card it has been allocated to.


Issue by highlighting the Job Card required, clicking at the top of the page on 'Stock' then selecting 'Issue Stock'

The next step is to populate the 'issue now' column to the quantities required to issue of each part.

Once this is correctly populated, click ok at the bottom of the screen.

Étape 7 - Mondays Picking list

If there is a Picking list for the build on Mondays which related to the parts you have just issued, this Board needs to be filled out to match the Sage Data aswell.


If there isn't ignore this step as the Sage data will be transferred correctly when required.

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