Implementing interfaces for transferring item master data and bill-of-materials data from TRITON 3.1b.
Supplement
List of work: Setting up audit management, setting up the audit file tables (audit item master data, audit bill-of-materials data), setting up the audit-relevant fields for the item master data, setting up the audit-relevant fields for the bill-of-materials data, implementing a Triton program for reading the audit data from the ASCII files into the newly defined audit tables, implementing a Triton program for checking, converting, and reading out item master data and bill-of-materials data, including creation of ASCII files for the transfer into your PS system.