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Enhance EWM Monitor List view

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Hi,

I am new to EWM Technical. I got a work assigned to me. In the EWM Monitor screen the user wants to add 2 custom fields to store the source and target qty in the list view/ALV output of the node Documents->Warehouse Task. the quantity needs to come from the quantity field under the node Stock and Bin->Physical stock. The user wants the quantity to be static even if the quantity within the bin changes. Please let me know how to go about it. It's a bit urgent so any help would be highly appreciated.

Thanks

JuergenPitz
Product and Topic Expert
Product and Topic Expert
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Hi,

"The user wants the quantity to be static even if the quantity within the bin changes."

... wait. That means the quantity should be from the time the WT was created? Or confirmed? Or what? Because then it can never be an information coming from another node in the monitor, but that would need to be an information of the WT. Which of course is not in the standard.

Or is my understanding wrong?

Brgds

Juergen

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And it is EWM. NOT eWM - Duh!
And if your question includes the word "transfer order" - do NOT tag the question with Extended Warehouse Management!

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Hi,

It will be the confirmed quantity. Would you suggest storing the confirmed quantity in a custom table and referring that back every time the monitor is run or is there a table which holds the confirmed quantity (never changes). This value will be used by the user to check what the original confirmed quantity was and what the current quantity is.

Thanks

JuergenPitz
Product and Topic Expert
Product and Topic Expert
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"It will be the confirmed quantity."

Which confirmed quantity? There are confirmed quantity in stock determinations or in WT confirmations - but in a bin?

Brgds

Juergen

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It will be the Task confirmations.

Thanks

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Hi,

Please let me know if you can suggest some solution to the issue. I am still not sure how to keep the quantity static. The idea is to allow the warehouse to see the quantities that were present at the time the task was confirmed.

Thanks,

Ashok

Accepted Solutions (1)

Accepted Solutions (1)

JuergenPitz
Product and Topic Expert
Product and Topic Expert
0 Kudos

Hi,

"The idea is to allow the warehouse to see the quantities that were present at the time the task was confirmed."

OK, that makes it clear what you want. Maybe, because in the first mail you wrote about 2 fields, the source and target - so, wait, that means for both bins?

But of course this is NO information which can be read in the monitor node you mentioned. And I doubt that any standard field contains this information. It would be necessary to extend a standard table or to build a separate table and write the quantity at the time of the confirmation into that field. And then extend the WT view in the monitor to include that field.

And then... this is an effing request, total nonsense. How would that information be of any use? This would not help in any way to figure out when a difference occurs (I guess this is the background of the request).

Brgds

Juergen

Answers (1)

Answers (1)

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Hi Juergen,

I totally agree with your analysis and solution to my issue. I created a custom table to store the quantity based on the product and bin combination. The program will ready this table for the combination everytime to see if there is a change in the quantity. If there is then display the change and then update the dbase. I am also not sure what problem this solve and dont see any sense to this requirement. But the analyst doesn't understand. Anyways thanks for your feedback.

Thanks,

Ashok