Accounting For Internal Re Stretches
Overview
Typically
re-stretches are undertaken by an external supplier. This process is outlined
in detail in Sending
Frames for Restrech
However if this process is undertaken in-house it is unnecessary to record
the number of frames that are available for collection or raise a purchase
order, and the accounting is slightly different.
The
process of how to record how many split screens have been internally re-sretched
is outlined below.
Note: this process is undertaken on the ipad layouts
Process
- From the ipad dashboard select Screen
Management > Screen Control List

- From within the Screens Control list , click the Functions
(1) besides the Frame/Mesh count record that is being stretched
internally, and click Frame Re-stretch
(2)

- Enter the quantity that
are being internally restretched > OK

- The following accounting takes place:-
- The available for coating
balance for Frame/Mesh
record selected in step 2) is credited
by the Qty entered
- the splits pool available
balance for the Frame type
is debited by the Qty
entered

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