Reporting packaging transactions to a pool owner

Dawid Kaczmarek Updated by Dawid Kaczmarek

The requirement for reporting transactions to the pool owner are different from pool owner to pool owner.

The setup chosen for this solution, is based on a manual periodic reporting routine to pool owner "CHEP". A file of the type ".CSV" can be created for the pool ID to report all transactions for a specific date, the file will contain the information needed by the pool owner, in this case "CHEP".

How did we do?

Shipping packaging management setup

Settle packaging

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