Unmatch Purchase Order
Report Module Guide: Unmatched PO Report
Module Location
Purchasing > Reports > Unmatched Purchase Order
Module Objective
The Unmatched PO Report module is used to generate a report that identifies discrepancies between the quantity of goods ordered on a Purchase Order (PO) and the quantity of goods received on the Goods Receipt Note (LPB/RR). This report is a crucial control tool for detecting short shipments or over shipments from suppliers.
1. Report Parameters (Filter)
The main page of this module is a form containing various parameters to customize the report that will be generated.
Here is an explanation for each parameter:
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Vendor:
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Filter the report by All vendors or a Selected vendor.
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Purchase Type:
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Select the type of purchase you wish to display, whether Local or Import.
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Start Date / To Date:
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Specify the creation date range of the POs to be checked (e.g., August 1, 2025, to August 31, 2025).
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2. Steps to Generate the Report
Step 1: Set Report Parameters
Define the Vendor scope, Purchase Type, and the date range.
Step 2: Generate the Report
After all parameters are set, click one of the two buttons in the bottom-left section of the page:
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Display Report: To preview the unmatched PO report directly on your screen.
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Export To MS Excel: To download the report data in an Excel file format.
3. Example of the Report View
After you click, the system will generate a report like the following, which details every PO that has a quantity mismatch.
Report Explanation: This report will display a list of Purchase Orders where there is a difference between the quantity ordered and the quantity received.
Key Columns for Analysis:
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Purchase Order: The PO number being analyzed.
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PO Quantity: The quantity ordered on the PO.
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RR Qty: The quantity received at the warehouse (based on the Goods Receipt Note).
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Status: Shows the status of the mismatch.
Tips & Important Notes
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Use this report routinely to identify shipping problems from vendors quickly.
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Every line that appears on this report requires follow-up, either by communicating with the vendor for clarification or with the warehouse team for re-verification of the receipt.
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This report is crucial for the Procurement and Accounting (AP) teams to ensure the company only pays according to the quantity of goods actually received.