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cats:analytics:inventorymatching [2019/04/18 18:21] – amanda | cats:analytics:inventorymatching [2019/05/13 13:47] – [Printing a Check Contracts Report] amanda | ||
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====Printing a Check Contracts Report==== | ====Printing a Check Contracts Report==== | ||
+ | In general, CATS automatically recalculates contracts when users perform actions affecting inventory, but occasionally contracts need to be recalculated manually. From the main contract screen, you can pick **Recalc** to run a recalculation on a single contract. The **Check Contracts** feature does the same thing for all open contracts in the system. | ||
+ | From the main menu, select **Maintenance** > **Recalculations/ | ||
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+ | Leave the default settings as they are, or change them to fit your needs, such as using a contract range or telling CATS not to check the unit weight against the grade code unit weight. [{{: | ||
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+ | You will be shown a printout of any issues the recalculation finds with units and weights, overbought or oversold inventory, and more. | ||
====Calculating the Accounting-Based Inventory==== | ====Calculating the Accounting-Based Inventory==== | ||