Set up a Freight Parity
Security Note: You need the Allow the user to maintain parities security right in the Marketing user group security rights group for this activity.
Activity Steps
- Open the Parity Editor.
- Select the freight parity to be either Source or Destination. Destination parities are often associated with sales contracts. Source parities are often associated with purchase contracts.
- Right-click in the Freight Parities field group and select New from the menu.
- Update the freight parity Name if required.
- Select the Base Location from the port locations defined on the Supply Chain panel of the Solution Explorer.
- Enter the number of Decimals to which to calculate the parity.
- To define a freight parity period:
- Right-click in the Parity Periods field group and select New from the menu.
- Update the Start Date and End Date if required. The default start and end dates are first and last days of the month.
- To define a freight parity item for a freight parity period:
- Select the parity period in the Parity Periods field group.
- Right-click in the Parity Items field group and select New from the menu.
- Complete the following fields.
- Parity Location—Location to where the parity is applied from the Base Location. Select from the port locations defined on the Supply Chain panel of the Solution Explorer.
- Parity Value—Parity applied per unit of mass, in the nominated currency, for each nominated unit of measure.
- Currency—Select from the currencies defined in the Currency/Exchange Editor.
- Per Unit Mass—Select from the Mass units defined in the Unit Conversion Editor.
- Weight Mass Type—Select from Gross Weight Mass, Net Weight Mass and Dry Weight Mass.
- Weight Location—Select from By Loading Transactions and By Unloading Transactions.
- Click Save.