Buyers Control Center Daily Steps
        
            
                - At the beginning of the day or shift, run the Buyers Control Center for the specified vendor/warehouse.
 
                - The lines returned in the browser that are color-coded need replenishment processing.  Refer to the procedures in this section for step-by-step instructions.
 
                - Before generating purchase orders or transfers, use the Recalculate All function to ensure all replenishment items have been selected for processing.  (Before generating a PO or a transfer for a line click Recalculate Line to ensure the all of the replenishment items are included.)
 
                - After you generate purchase orders and transfers using the Buyers Control Center, you can update them in PO Entry or Transfer Entry.
 
                - Specify  PO Receipts (Receipt Entry (POE210)) and Transfer (Receipt Confirmation (ICE340)) and Shipment Confirmations (Shipment Confirmation (ICE330)).
 
                - Run the following registers as needed to continue processing purchase orders and transfers:
 
            
            
                - 	PO Receipt Register to process purchase orders and returns,
 
                - 	IC Transfer Receipt Register to process transfers.
 
            
        
         See Also 
        Buyers Control Center Detail Procedures
        
        Buyers Control Center
        
        Buyers Control Center Detail Screen
        
        Buyers Control Center On Order View
        
        Buyers Control Center Open Docs View
        
        Buyers Control Center Package View
        
        Buyers Control Center Restocking View 
        Buyers Control Center Usage View
        
        Buyers Control Center Transfer History View
        
        Buyers Control Center Surplus Selection View
        
        Buyers Control Center Purchase Order History View