Outbound Inventory Management - Planned - What is the Plan for the Customer 'side' should the Custom
I already have experience of the customer being a JDE user, and in that case the consigned inventory was considered 'consumed' ether when any quantity was reduced from a pallet, or when the pallet had been on site for 3 months.
This meant that the inventory held by the customer was a mixture of consigned and owned for the same item. As the general ledger requirements are very different depending on whether the quantity is consigned or owned the solution was messy. The best solution would have been if the GLClass of the Location could have been automatically updated for the consigned quantity and returned to 'normal' when the quantity was fully consumed or changed to customer owned.