Fusion Testing
Test Cases
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TC-08193 : Enter a nonserialized item that does not exist on the LP being counted.
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Process Area : F&A
Prerequisites
Stock Count has already been created and started. The item number being counted is not on the LP being counted. Note: The bolded sections are required Steps for this test. Nonbolded Steps are needed to get to the test Steps and confirm expected results.
Steps To Execute
Note: This test case is being done in TC-08192. the details are listed there. Login with RF-SMART token Access Choose the Kimray All function menu Select the Kimray Stock Count Directed LP function User to set the location to location being counted. User will select the count number from the list or enter the number if known. User will scan/select the bin to be counted. User will scan the License Plate Number (LPN) they will be counting which is not showing to be in the bin. Will prompt user if LPN is shown to be in a different bin. User will select Yes to continue counting the LPN. If item is neither a Lot or Serial item prompt user for the quantity. UOM for item on LPN will be displayed for reference. If item entered is not on the LP prompt the user with the item is not on the LP. User to hit Yes to continue counting. Take user back to the item entry screen to count another item on the LPN. User to hit Back button if no other items to be counted on the LPN. This will take them back to the LPN entry screen. Hit back again to take user to the Bin entry screen if there are no more LPNs to be counted in the bin. For all items counted the stock count form will be updated to show the actual counted details where the form will show the expected quantities versus the actual quantities including the lot and serial details.
Expected Results
The user was prompted to let them know the item didn't exist on the LP being counted. All details counted were captured and the stock count form was updated to show the counted details. Upon approval the license plate and inventory details were updated to have the details adjusted to the bin and LP counted. Transaction records created in NetSuite to show the adjustments made.