Inbound EDI X12 860 (Purchase Order Change Request - Buyer Initiated
Problem Statement:
XYZ Manufacturing company, currently utilizes a manual process for managing purchase order changes from their trading partners. This process is labor-intensive, prone to errors, and often results in delays that affect our supply chain efficiency and customer satisfaction. To streamline operations, they aim to implement an automated system for handling inbound EDI X12 860 (Purchase Order Change Request - Buyer Initiated) transactions.
Objective
The goal is to develop and implement a robust solution that facilitates the automated processing of inbound EDI X12 860 transactions. This solution should seamlessly integrate with their existing ERP system, ensure data accuracy, and enhance operational efficiency.
Solution Architecture:
Design a Transaction using an EDI Inbound Pre-built template.
Create Source Schema- EDI860
Create Target Schema - Advance positional
Create a File Event activity
Create Target folder Location (LAN)
Create Mapping activity
EDI Configuration
Pre-requisites:
a. Create a Network for which you are creating a transaction.
b. Create a Partner for the data exchange.
Solution:
Design : Create transaction in Adeptia Connect to convert data
1. Configure : Define Transition
To Create a Inbound Transition Click Transactions > Templates.
On the Templates screen, navigate to the EDI Inbound Template
To Define Transaction Provide the name and description of the Transaction.
Select Network and Partner
Select and configure the EDI Standard X12, EDI Standard Version 004010, transition Set Code to 860
2, Define Source:
Select the Source type as FTP and click next to configure File Event
Define the File Event > Name >Trigger Type (On file Created)
Specify the file base location path, user ID, and password. Then choose the event start date as well as the expiry date and time.
Select Trigger Simple and polling frequency as per the requirement.
3. Set Destination
Define the Destination application account.
Click on Next to create a FTP Account Information
4. Create Mapping
Create Data Mapping >>Load Source and Target Schema
Create/Add Variables
Let's create a variable using the following name: varPricingqty
Condition Applied
WHEN CONDITION{$Input_X12_004010_860/EDIRoot/TS_860/BCH/BCH01='01' } VALUE=['Y' ] OTHERWISE VALUE=['' ]
Implement a For Each loop at the root level on the destination side.
$Input_X12_004010_860/EDIRoot/TS_860
Let's establish a name for the variable. :varST_LOC
./Loop5_N1/N1[N101='ST']/N104
Let's proceed by creating a variable named 'name'.: varS_ST_EDI_LOC_CODE
WHEN CONDITION{$varST_LOC='H050' or $varST_LOC='1300'} VALUE=['EAVN1824' ]
WHEN CONDITION{$varST_LOC='H464' or $varST_LOC ='H204' } VALUE=['EAVN1823' ]
WHEN CONDITION{$varST_LOC='1303'} VALUE=['EAVN43685']
WHEN CONDITION{$varST_LOC='1373'} VALUE=['EAVN52820']
OTHERWISE VALUE=[$varST_LOC ]
Let's proceed by creating a variable name.: varX
IF CONDITION{ $Input_X12_004010_860/EDIRoot/TS_860/BCH/BCH01='01'} VALUE=[ 'Y']
Let's proceed by defining a variable name.: varTP_CODE
'AVNET'
Let's proceed by creating a variable name.: varCONTROL_NUM
normalize-space( $Input_X12_004010_860/EDIRoot/TS_860/ST/ST02)
Check for the data input.
Steps to Turn on the Transaction
After you have Saved and Exit the Transaction page. You will be asked to Turn on the transaction
Viewing execution details
Go to the Dashboard to view execution details. The Status column shows execution status of the transaction.
Click the execution icon under Action to view the detailed information about transaction.
Click the information icon under the respective Icons to know details of execution at a that step.
Click More arrow under Action menu to know further details of the transaction.
EDI Dashboard and EDI X12 Interchange logs
Logs provide runtime details about the inbound and outbound transactions.
Users can search logs with Partner ID, Sender/Receiver ID, Transaction Control Number and with any other data field.