Hi Experts
In Two-Step Picking in Extended Warehouse Management the system picks stock from earlier "Release Withdrawal" stock which is at standard Intermediate storage type for two-step picking (2010).
The Process is ....
1. Create Wave
2. Assign outbound Delivery Requests to Wave
3. "Release Withdrawal" - First step in 2 step picking , the stock is removed from High Rack source bin.
and moved to intermedicate storage type 2010 for 2 step picking.
The system creates WO / WTs for deliveries assigned.
Confirm WO.
4. Step 2 in 2 step is allocation .... so from WAVE - "Release"
When you release wave the system picks stock from intermediate storage type 2010
which is removed in step 1 from source bin ( in High Rack).
The issue is , in 2nd step the system picks stock (HUs) from earlier "release withdrawals" from 2010 and
allocates it to deliveries for which it was not withdrawn.
say for
Wave :1 --> Deliveries assigned : Del 1 , Del 2
First Release withdrawal - HU1 and HU2 are removed for deliveries Del1 and Del2.
The HUs are at 2010 --> HU1 and HU2
Wave:2 --> Deliveries assigned : Del3 , Del4
Release withdrawal for this step removes HUs --> HU3 and HU4.
The HUs are at 2010 --> HU3 and HU4.
Now when we release wave 2 for allocation (by "release" button) ,
the system picks HUs from first wave HU1 and HU2 which are not relevant for wave 2 deliveries.
For wave 2 actually "release withdrawal" has removed HU3 and HU4.
Any idea , how to set it right so that correct HUs are picked for corrosponding waves ?
Thanks in advance ....
Regards / Vinod