Description |
# When distributing a delivery sheet, the following should be changed on the scale tickets associated with a delivery sheet
## Update the “Status” to “Completed”
## Update the “Distribution Type” to match the delivery sheet
i.If there is a split on the delivery sheet the “Distribution Type” should be “Split” else it should be the Storage type from the delivery sheet
# When Processing a delivery sheet (Clicking the Done Button)
## The Delivery sheet Detail screen should default to the storage type code from the summary line for each entity
## If no option is selected in the split or on the summary line it should default to “Spot Sale”
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