Description |
This dashboard does not worry about the status of teh contract. It simply looks at the contact date. user gets to select a date range for contract creation date and we show volumes traded with each vendor during that range.
What we need to do now-- As Inventory has built an inventory return process. we need to find where the returned quantity is stored and reduce it from contract quantity.
This action should be controlled by a configuration. Put it in risk preferences and call it
"Adjust inventory return qty in sourcing report"
Contract sequence qty- returned qty - is teh new formula for column volume
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