Product Header
The form below is used to both add a new product and maintain an existing product, when you are creating a new product all fields are blank, however if you are creating a product from either the system product, EDI, Excel then any details already known will be pre-populated into the form.
Duplicate Product Codes
The same Product Code can exist across multiple Customers Codes in the system but it must be unique for each Customer Code/Site Code combination
If a Product Code is entered that already exists in the EDI Product Screen with the same Customer Code and Site Code, you will be prompted to confirm you would like to populate the fields for this new Product from the screen
Products Details Header
BOM - Bill of Material
Click this link to find out more about the bill of materials components functionality
All fields in the header section of the form are mandatory with the exception of the Sub Description, BOM and Archive.
General Tab
The majority of the fields on this page either control key functions or are used for specific purposes or options available within the system.
Singles Per Case
Can only be adjusted up to the point there is stock landed on the product, at that point the field is locked and can not be adjusted.
Customs Tab
The fields in this tab are used when your warehouse is a tax or customs warehouse or you wish to use those components within the business. If a customer is set to be non bonded these fields are not required.
On a previous tab you defined the Product Type - this will define which fields are mandatory or required within this tab.
Many fields here use items which are already setup within the system, see the other create menu options for how to add a new item
Invoicing Tab
In this tab you are selecting the invoice rate to charge for this product.
All products need to have a charge rate applied even if the rate is a nil charge.
The screen shows two category options
Goods In Charge per line
Storage charge
The charges shown if you press the F11 search key are those which are setup on the customer record. Only those set there will be shown and can be applied to the products.
If there is only a single charge setup for the customer it will automatically default to this, you simply have to set this as the DEFAULT charge by selecting the line and clicking the “Set as Default”
There are no fields to setup within this tab, you are only selecting from a list of possible charges.
You should only set one charge for each category (Goods In / Storage) You can use multiple for goods inwards however set one as the default and the other can be changed at the time of receipt. Storage charges for this product however can only ever have a single charge type.
Additional Tab
This tab contains additional information fields which are not used often during product setup or they have a specific purpose.
The general fields in this section are explained in the expandable section below
Auto Put Away Locations
As an option at the time of setup or something you later add, the system can be designed to provide you with suggested locations to put the stock away, the listing shows all the location types in the system and you can set location types where this stock can be located.
e.g. Bulk liquid can only go into a suitable tank location; Single items may only be able to be placed into picking locations.
Vision Live Service Details
This is a generic place where you can lookup product codes from an external source.
We previously covered the master product table in the System Product wiki page, if you have this service running and a customer who is not using it but you wish to obtain a standard product code you can perform this manually within this tab.
This tab is generally used for master system products customers where we are using a standard table and lookup and the Livex LWIN service, as part of the Livex membership you may be able to obtain trading values for the stock you have in the warehouse, we store the values within our database and we can then display them on the screen here.
These values can be displayed to your customer on the VCIS site and also can be used on annual invoices for the customer.
Customer Specific tab
The customer specific tabs is used by customers on the VCIS where they are wanting to store information for purchasing and selling and having multiple price liss for the stocks.
This feature was part of VCIS but was removed in 2015 due to lack of use. The fields in this section do not feed to anywhere on the system at present.