The Product Report page (Report > Setup Reports > Product Report) makes it possible to print a list of the products in your DTN TABS database. You can select the products to be included in your report by PIDX Code, Product Name, and Product Family.
FAQs
How do I set up a product group?
You can use the Product Groups page (Data Management > Product Groups) to add and manage product groups. Product groups take you beyond product families to allow you to combine products any way you want. For example, you might want to group products by location and then assign that product group to the terminals where only that group of products is available. Once
Who can use the Product Override Settings page?
Only users with the All or All Except Auth roles have access to the Product Override Settings page (Admin > Configuration > GPO > Product Override Settings). The user’s company must also be subscribed to the Dashboard.
What is the Product Override Settings page?
The Product Override Settings page (Admin > Configuration > GPO > Product Override Settings) enables you to define GPO settings for the Load Assistance Dashboard and Allocation Viewer. You can define the maximum number of loads that can be applied to a global product override and the number of gallons per GPO load.
How does Global Product Override (GPO) work?
A Global Product Override (GPO) is a quick way to add product to a product allocation that has been exhausted or nearly exhausted. This helps you keep traffic moving at the rack if you have the product available. For example,when a product allocation is running low and the customer needs to load more product than
Do processed BOLs have any impact on the credit allocation?
BOLs that have processed prior to the activation of the credit allocation are not applied to the credit allocation.
How do I setup a credit allocation?
A credit allocation is not tied to a product. If a consignee has a credit allocation with an available amount, the consignee is allowed to load any products that are available to that consignee at a specific terminal. That enables you to control allocations for a consignee or consignee group that are based on a contract as
What type of credit allocation alerts are available?
Allocation Alerts send a credit allocation alert when: The remaining amount of a selected credit record is less than the specified percentage. A credit record is refreshed. A specified percent of a credit record is or is not lifted within a certain number of days after the initial activation of the credit allocation.
How do I assign consignees to a consignee group?
If you are a seller, you can use the Seller Consignee page (Data Management> Seller Consignee) to add a group and assign consignees to that group or you can use the Consignee Groups page (Data Management > Consignee Groups) to assign consignees to a consignee group. DTN TABS sellers own product at terminals and sell that product to marketers and consignees. If you are a marketer, use the Marketer
How do I add a consignee group?
You can use the Consignee Groups page (Data Management > Consignee Groups) to add and manage consignee groups. A consignee group lets you group consignees according to class of trade, product allocations, or some other criteria that is appropriate for your business needs.