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X12 EDI

J.H. Larson Company X12 844 Product Transfer Account Adjustment

Plan X12 844 Product Transfer Account Adjustment for J.H. Larson Company (via Epicor Eclipse). Connect document identifiers to your business records, test exception handling and track each exchange to completion.

Segments
15
Loops
3
X12 844
Partner references ↗

Implementation guide

J.H. Larson Company (via Epicor Eclipse): 844 mapping and validation

X12 844 Product Transfer Account Adjustment is used when a distributor or reseller requests an account adjustment. Preserve claim reference, product transfer and authorization so the product-transfer adjustment request in your business system stays connected to the original document.

This document is listed for J.H. Larson Company (via Epicor Eclipse). Confirm the version, required fields and responses that apply to your account.

Map records and test the business result
Document or decisionRecord and matching IDsWhat to test
Match the business record product-transfer adjustment request

claim reference, product transfer and authorization

  • Define which combination of claim reference, product transfer and authorization identifies one business record, its lines and any later revision.
Update the receiving system Processing the product-transfer adjustment request

ID assigned by the receiving system and processing result

  • Test two claim lines against the same resale without paying the same adjustment twice.
  • Route an unknown price authorization to review instead of assuming eligibility.
Check the processing result Processing status for the product-transfer adjustment request

Original document reference and matching response

  • Reconcile the product-transfer adjustment request with the source after a timeout before sending it again. A lost response can occur after the destination has already processed the document.

The document reference includes 15 segments. Use the segment reference below to locate the relevant parts of the message. Check required fields and repetition limits in the partner guide.

How the related documents differ

Each message represents a different business event. Use shared references to connect the records while tracking each message’s outcome separately.

Implementation steps

  1. Choose the starting event and owner

    Decide which application acts when a distributor or reseller requests an account adjustment. Name the operational owner of the product-transfer adjustment request and the team that resolves rejected or ambiguous messages.

  2. Keep record IDs connected

    Map claim reference, product transfer and authorization. Confirm qualifiers, code lists, units and date/time meaning against the agreed X12 version and J.H. Larson Company guide. Preserve the source reference alongside any new destination identifier.

  3. Test failures before launch

    Run the failure cases in the mapping table against realistic product-transfer adjustment request data. Check how the receiving system reports a rejection and how your team corrects it without creating a duplicate.

  4. Track every document to completion

    Record transport delivery and document validation separately from successful product-transfer adjustment request processing. Give unresolved errors an owner and check the receiving system before approving retries.

Go-live checklist

  • An approved 844 sample and the agreed version and partner guide are available.
  • The mapping tests pass with realistic product-transfer adjustment request data.
  • Each submitted document can be traced through delivery, validation and processing in the receiving system.
  • Your team knows how to investigate and recover a rejected or timed-out product-transfer adjustment request without processing it twice.

Transaction context

Where 844 Product Transfer Account Adjustment fits on J.H. Larson Company (via Epicor Eclipse)

J.H. Larson Company channels
1 of 1

1 of J.H. Larson Company's 1 channel list 844

Trading partners
5

partner references list 844

Channels
5

channel entries list 844

The directory associates Epicor Eclipse and 844 with 3 channels.

Document structure

X12 844 Product Transfer Account Adjustment at the element level

The X12 844 reference contains 27 segment entries and 75 data elements; 49 are marked mandatory in this reference. Use the version and partner guide agreed for your account to confirm required fields.

Segments
27
Data elements
75
Mandatory elements
49
Segments with elements marked mandatory in this reference
Segment Elements Mandatory
BAA 5 3
N1 4 1
N2 2 1
N3 1 1
CON 3 3
LIN 5 2
PID 2 1
QTY 2 1
AMT 2 2
REF 2 1
Key identifiers in 844
  • Transaction Set Purpose Code
  • Transaction Type Code
  • Date
  • Entity Identifier Code
  • Name
  • Address Information
  • Reference Identification Qualifier
  • Reference Identification
Segment reference — 15 segments 3 loops · X12 844 Product Transfer Account Adjustment
ISA Interchange Control Header 16 elements

To start and identify an interchange of zero or more functional groups and interchange-related control segments

GS Functional Group Header 8 elements

To indicate the beginning of a functional group and to provide control information

ST Transaction Set Header 2 elements

To indicate the start of a transaction set and to assign a control number

BAA Beginning Segment for Product Transfer Account Adjustment 5 elements

To identify the beginning of a Product Transfer Account Adjustment Transaction Set and further define the type of product account adjustment transaction set and its reference number and date

N1 Loop Repeat: 50
N1 Name 4 elements

To identify a party by type of organization, name, and code

CON Loop Repeat: 10,000
CON Contract Number Detail 3 elements

To specify contract or reference number and status

PAD Loop Repeat: 1,000
PAD Product Adjustment Detail 2 elements

To specify the product transfer type, and/or line item number

CTT Transaction Totals 2 elements

To transmit a hash total for a specific element in the transaction set

AMT Monetary Amount 2 elements

To indicate the total monetary amount

SE Transaction Set Trailer 2 elements

To indicate the end of the transaction set and provide the count of the transmitted segments (including the beginning (ST) and ending (SE) segments)

LIN Item Identification 5 elements

To specify basic item identification data

UIT Unit Detail 3 elements

To specify item unit data

QTY Quantity 3 elements

To specify quantity information

REF Reference Identification 2 elements

To specify identifying information

DTM Date/Time Reference 2 elements

To specify pertinent dates and times

Related references

Other transactions in J.H. Larson Company (via Epicor Eclipse)

Other EDI documents listed on this channel.

J.H. Larson Company (via Epicor Eclipse) EDI 844 questions

Common questions about 844 Product Transfer Account Adjustment on the J.H. Larson Company (via Epicor Eclipse) channel.

What is X12 844 Product Transfer Account Adjustment used for?

844 is used when a distributor or reseller requests an account adjustment. It carries information for the product-transfer adjustment request. Match it to your business system using claim reference, product transfer and authorization.

Is 844 required for J.H. Larson Company (via Epicor Eclipse)?

844 is listed for J.H. Larson Company (via Epicor Eclipse). Confirm the required version and direction for your business unit and account with the partner.

What should I map for X12 844?

Start with claim reference, product transfer and authorization and the target product-transfer adjustment request. Define duplicate detection, allowed updates and response correlation before mapping individual fields. Use the partner guide to check required fields and their formats.

How should I test 844 error handling?

Test two claim lines against the same resale without paying the same adjustment twice. Route an unknown price authorization to review instead of assuming eligibility. Also test a lost response after destination processing so that a retry cannot create an unintended duplicate or repeated adjustment.

How does 844 relate to other EDI messages?

X12 845 Price Authorization Acknowledgment Status; X12 849 Response To Product Transfer Account Adjustment are related documents also listed on J.H. Larson Company (via Epicor Eclipse). Match these documents through their order, shipment or invoice references. Agree which response marks each business step as complete.

What is the difference between 844 and 845?

844 is used when a distributor or reseller requests an account adjustment. 845 is used when an authorization is issued or its status changes. Each message represents a different business step. Keep their record references connected and track the processing result for each message.

Connect J.H. Larson Company EDI to your business systems

See how Stacksync can fit your enterprise EDI workflow. Bring one partner guide and a sample exchange to plan the system mapping, exception handling and production rollout.