Managing the Transition of Long Life Product from NDD to Network Services

This seems to me the best solution for the transfer period.

We are in the process of finalising the process for titles & issues that where distributed by NDD that have a recall date beyond the last day of trade fro NDD. NDD’s Last recall will be sent in October all NDD distributed issues with a recall date after the last NDD recall form will be transferring to Network Services.

The process agreed with NDD is as follows:

* NDD to issue a full credit of net position (Stock on Hand) for each title as at the Transfer Date

* NSC to debit all agents for the Net position (Stock on Hand) for each title as at the Transfer Date

* NSC to generate a DD2 file for all titles debited.

* Issues will appear on Network Services returns forms when due for recall.

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Any advice or ideas will be appreciated.

A list of titles and issues will be made available once the complete solution has been drafted. We intend to communicate the best practice process will all agents close to the dates.

Regards

Daniel Tisi
Network Supply Chain Project Manager