This X12 Transaction Set contains the format and establishes the data contents of the Warehouse Inventory Adjustment Advice Transaction Set (947) for use within the context of an Electronic Data Interchange (EDI) environment. The transaction set can be used to inform a warehouse/depositor or other business party of a quantity or status change to inventory records. This transaction set provides detail information concerning the internal adjustments which occur between a warehouse and a depositor or other business party.
To indicate the start of a transaction set and to assign a control number
To provide identifying numbers and dates and other basic data for this transaction set
To identify a party by type of organization, name, and code
To specify additional names
To specify the location of the named party
To specify the geographic place of the named party
To identify a person or office to whom administrative communications should be directed
To transmit identifying information as specified by the Reference Identification Qualifier
To identify a person or office to whom communications should be directed
To specify pertinent dates and times
To transmit information in a free-form format, if necessary, for comment or special instruction
To transmit standard code list identification information
To identify standard industry codes
To designate those items that were adjusted
To describe an item in free-form format
To transmit identifying information as specified by the Reference Identification Qualifier
To provide information about a contract
To indicate the total monetary amount
To specify pertinent dates and times
To transmit standard code list identification information
To identify standard industry codes
To identify a party by type of organization, name, and code
To specify additional names
To specify the location of the named party
To specify the geographic place of the named party
To identify a person or office to whom communications should be directed
To reference a line number in a transaction set
To transmit identifying information as specified by the Reference Identification Qualifier
To specify pertinent dates and times
To identify a party by type of organization, name, and code
To transmit standard code list identification information
To identify standard industry codes
To specify the organization controlling the content of the accounting citation, and the purpose associated with the accounting citation
To specify the detailed accounting data
To indicate the end of the transaction set and provide the count of the transmitted segments (including the beginning (ST) and ending (SE) segments)